600888 新疆众和
2026/03 -
人民币(K¥)
与去年末期
比较
2025/12
人民幣(K¥)
2024/12
人民幣(K¥)
2023/12
人民幣(K¥)
2022/12
人民幣(K¥)

非流动资产
长期股权投资3,522,8381.47%3,471,8653,275,3083,055,6932,842,899
投资性房地产65,294-1.00%65,95667,21375,39276,892
固定资产5,479,943-2.00%5,591,9965,756,6055,534,2614,945,136
在建工程4,531,94519.84%3,781,693276,686502,453487,914
无形资产566,0056.15%533,202530,792271,700271,912
商誉0--0000
其他非流动资产535,19613.83%470,151188,830477,335357,763
14,701,2225.65%13,914,86510,095,4329,916,8348,982,516

流动资产
货币资金3,188,9837.29%2,972,2683,430,9503,061,8831,904,346
应收账款625,53753.23%408,230412,305382,202349,454
存货2,239,1514.88%2,135,0121,714,6941,855,5531,722,332
其他流动资产2,671,0671.45%2,632,9462,486,7171,502,5611,382,832
8,724,7387.07%8,148,4568,044,6666,802,2005,358,964

流动负债
短期借款79,141-83.34%474,9170390,966722
应付票据1,110,919-12.48%1,269,3091,828,6771,263,3711,001,185
应付帐款1,457,777-11.82%1,653,211841,110849,946766,089
其他流动负债891,07127.76%697,4522,111,1231,280,2431,500,978
3,538,908-13.58%4,094,8904,780,9103,784,5263,268,974
流动资产净值5,185,83027.93%4,053,5663,263,7563,017,6752,089,990
资产总额减流动负债19,887,05210.68%17,968,43113,359,18912,934,50911,072,506

非流动负债
长期借款5,344,82638.30%3,864,713426,6991,575,3462,313,240
应付债券0-100.00%984,6951,133,2211,266,7740
其他非流动负债482,6652.48%470,981460,440355,824289,094
5,827,4919.53%5,320,3892,020,3603,197,9442,602,334

总权益
    实收股本1,553,08610.64%1,403,7131,376,1831,349,7271,350,025
    储备项目11,248,57110.53%10,177,2299,709,5458,292,5337,017,929
股东权益12,801,65710.54%11,580,94211,085,7289,642,2608,367,954
非控股权益1,257,90417.88%1,067,100253,10194,305102,218