600373 中文传媒
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1,993,247-10.11%2,217,3621,925,7902,064,1322,229,761
投资性房地产545,089-3.01%561,981666,544526,026552,849
固定资产1,902,672-2.33%1,948,0502,110,6952,270,9322,002,374
在建工程101,698-2.09%103,867216,68193,52478,760
无形资产618,584-3.20%639,021730,819704,400680,086
商誉2,858,6980.00%2,858,6982,858,6982,437,5732,437,573
其他非流动资产1,603,9207.79%1,488,0721,628,3922,068,3831,568,161
9,623,907-1.97%9,817,05110,137,61910,164,9709,549,564

流动资产
货币资金6,285,167-3.50%6,512,86510,570,86513,716,72413,172,330
应收账款2,171,17519.47%1,817,2921,750,682905,883802,931
存货1,122,05312.01%1,001,7641,152,2451,044,2871,086,299
其他流动资产9,807,5952.28%9,588,9216,980,3995,218,5144,125,276
19,385,9902.46%18,920,84220,454,19120,885,40719,186,836

流动负债
短期借款827,358-43.79%1,472,0031,601,5172,631,2631,342,440
应付票据118,52010.87%106,897206,627254,534290,761
应付帐款2,273,1900.33%2,265,6812,520,6972,525,7232,325,414
其他流动负债6,737,74315.68%5,824,4136,994,6653,475,9204,115,891
9,956,8122.98%9,668,99411,323,5058,887,4398,074,506
流动资产净值9,429,1791.92%9,251,8489,130,68611,997,96811,112,330
资产总额减流动负债19,053,086-0.08%19,068,89919,268,30522,162,93720,661,895

非流动负债
长期借款0--000885,000
应付债券0--001,000,0001,000,000
其他非流动负债885,876-2.46%908,1771,058,9761,255,6731,086,706
885,876-2.46%908,1771,058,9762,255,6732,971,706

总权益
    实收股本1,347,359-1.47%1,367,5051,402,7271,355,0641,355,064
    储备项目16,436,3500.12%16,416,32416,469,01918,424,82616,130,498
股东权益17,783,7090.00%17,783,82917,871,74719,779,88917,485,562
非控股权益383,5011.75%376,893337,582127,375204,627