600031 三一重工
2026/06 - 中期
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2,702,8668.59%2,489,0992,424,5182,400,9122,239,051
投资性房地产243,97419.55%204,080218,063139,416152,323
固定资产20,289,894-3.91%21,115,41122,369,34823,453,24419,769,451
在建工程1,000,392-2.12%1,022,0091,139,9561,366,9334,000,878
无形资产3,977,276-6.09%4,235,1734,615,2774,832,1794,437,679
商誉38,452-5.69%40,77148,01049,66147,501
其他非流动资产20,448,9252.79%19,894,84419,824,58521,326,66822,509,283
48,701,779-0.61%49,001,38750,639,75753,569,01353,156,166

流动资产
货币资金27,864,809-27.53%38,451,24120,383,17618,071,82721,342,876
应收账款29,872,51216.96%25,540,36525,516,53024,164,72925,022,047
存货24,340,1258.05%22,526,66419,947,98119,767,76219,738,362
其他流动资产50,373,55733.34%37,779,48135,657,63335,630,02739,661,829
132,451,0036.56%124,297,751101,505,32097,634,345105,765,114

流动负债
短期借款6,730,775-26.27%9,128,4475,953,3564,115,6244,540,048
应付票据11,511,47730.57%8,816,4607,389,3925,074,9859,189,370
应付帐款33,016,73421.17%27,247,77121,264,96717,617,74119,717,317
其他流动负债27,424,7832.85%26,663,70829,061,51427,618,66434,265,176
78,683,7699.50%71,856,38663,669,22954,427,01467,711,911
流动资产净值53,767,2342.53%52,441,36537,836,09143,207,33138,053,203
资产总额减流动负债102,469,0131.01%101,442,75288,475,84896,776,34491,209,369

非流动负债
长期借款5,181,086-34.03%7,853,36711,556,18223,555,72821,624,937
应付债券0--0000
其他非流动负债4,092,318-1.58%4,157,9883,918,0674,058,5833,490,793
9,273,404-22.79%12,011,35515,474,24927,614,31125,115,730

总权益
    实收股本9,195,0040.00%9,195,0048,474,9788,485,7408,493,286
    储备项目82,889,2234.74%79,136,24063,448,88859,543,27756,557,306
股东权益92,084,2274.25%88,331,24471,923,86668,029,01765,050,592
非控股权益1,111,3821.02%1,100,1531,077,7331,133,0161,043,047