600017 日照港
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1,006,443-0.70%1,013,564813,007799,639799,356
投资性房地产10,501-2.16%10,73311,19711,66119,934
固定资产21,542,441-3.84%22,402,60120,481,49320,301,46517,377,009
在建工程4,057,930-3.74%4,215,6215,843,6665,706,0786,208,897
无形资产9,479,33924.78%7,596,6407,064,3855,932,8924,927,500
商誉156,1950.00%156,195156,195156,195156,195
其他非流动资产1,785,20542.46%1,253,1702,772,9093,554,7144,186,518
38,038,0543.79%36,648,52537,142,85236,462,64433,675,409

流动资产
货币资金1,107,843-1.82%1,128,3811,349,5521,438,3491,474,086
应收账款1,074,18033.20%806,439578,649519,780514,659
存货242,8456.68%227,631229,916154,306123,133
其他流动资产1,486,5035.09%1,414,5071,008,378736,419788,125
3,911,3719.35%3,576,9583,166,4952,848,8532,900,004

流动负债
短期借款3,621,17245.62%2,486,7762,530,1582,323,9161,723,580
应付票据78,798--00030,500
应付帐款584,26714.37%510,869769,619806,635924,498
其他流动负债6,615,216-2.92%6,814,1647,809,8246,611,5266,968,425
10,899,45311.09%9,811,80811,109,6019,742,0769,647,003
流动资产净值(6,988,082)12.08%(6,234,851)(7,943,106)(6,893,223)(6,747,000)
资产总额减流动负债31,049,9722.09%30,413,67529,199,74629,569,42026,928,409

非流动负债
长期借款10,943,679-2.10%11,178,4359,413,0629,596,1405,829,938
应付债券1,100,00083.33%600,000000
其他非流动负债2,637,2295.75%2,493,8713,793,1844,544,1873,795,889
14,680,9082.86%14,272,30613,206,24614,140,3279,625,827

总权益
    实收股本3,075,6540.00%3,075,6543,075,6543,075,6543,075,654
    储备项目11,109,7852.07%10,884,18510,692,24210,220,80012,413,287
股东权益14,185,4391.62%13,959,83913,767,89613,296,45415,488,941
非控股权益2,183,6250.10%2,181,5302,225,6042,132,6401,813,641