002929 润建股份
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162,43951.55%107,18899,366102,70862,083
投资性房地产234,477-0.82%236,425000
固定资产1,001,812-2.74%1,029,9941,134,130776,387400,267
在建工程104,1429.00%95,546286,718436,970618,701
无形资产113,806-0.60%114,488104,10069,49992,032
商誉116,7530.00%116,753141,873159,133180,001
其他非流动资产4,672,0028.71%4,297,8382,494,3982,357,3511,408,663
6,405,4316.79%5,998,2324,260,5853,902,0482,761,747

流动资产
货币资金3,084,48123.11%2,505,5521,987,9891,919,4231,915,815
应收账款5,928,428-0.64%5,966,9106,054,1325,392,8974,398,897
存货1,992,4657.48%1,853,7171,920,7611,739,6821,304,092
其他流动资产4,336,0373.99%4,169,5533,351,2451,899,2402,348,572
15,341,4115.83%14,495,73213,314,12710,951,2429,967,377

流动负债
短期借款4,724,70022.33%3,862,3372,767,1422,036,9771,582,594
应付票据5,052,266-4.20%5,273,6163,146,0281,574,8532,204,017
应付帐款2,759,931-18.67%3,393,4713,756,5214,111,9902,472,957
其他流动负债2,531,240108.60%1,213,4161,247,6141,084,116926,259
15,068,1369.64%13,742,84010,917,3058,807,9367,185,827
流动资产净值273,275-63.70%752,8922,396,8222,143,3062,781,550
资产总额减流动负债6,678,706-1.07%6,751,1246,657,4076,045,3545,543,297

非流动负债
长期借款43,040-66.83%129,74446,81826,00010,022
应付债券0--0001,033,258
其他非流动负债320,012-6.72%343,060409,21641,85639,333
363,052-23.21%472,804456,03367,8561,082,614

总权益
    实收股本284,0830.00%284,083281,831279,697232,012
    储备项目6,055,4020.67%6,015,3395,886,2355,614,4374,107,240
股东权益6,339,4850.64%6,299,4236,168,0665,894,1344,339,252
非控股权益(23,830)12.93%(21,102)33,30783,364121,431