000708 中信特钢
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167,942-1.14%169,873870,564629,1831,922,329
投资性房地产354,773-1.04%358,514255,51392,44913,658
固定资产47,662,333-1.45%48,362,39648,968,33350,391,17538,953,828
在建工程1,762,7283.16%1,708,7363,333,6803,790,4745,522,331
无形资产7,107,002-1.02%7,179,9127,435,4537,811,2924,272,174
商誉18,3310.00%18,33118,33118,33118,331
其他非流动资产3,415,90614.64%2,979,5672,800,7062,524,6582,423,437
60,489,015-0.47%60,777,32863,682,57965,257,56253,126,088

流动资产
货币资金8,541,048-24.23%11,273,0778,833,4958,478,0248,927,882
应收账款6,890,66831.73%5,230,9115,401,6765,198,3973,160,927
存货15,573,472-4.10%16,239,09616,745,07817,213,78810,767,993
其他流动资产17,489,5174.09%16,802,15616,380,55120,358,83514,791,959
48,494,704-2.12%49,545,24047,360,80051,249,04437,648,762

流动负债
短期借款7,241,4006.21%6,818,1439,018,6418,670,1035,272,701
应付票据4,522,73712.28%4,027,9814,327,8055,064,7395,152,660
应付帐款11,377,834-6.78%12,205,71112,530,88617,665,81312,805,420
其他流动负债20,816,36010.21%18,887,11216,245,64718,139,58714,276,570
43,958,3314.82%41,938,94842,122,97949,540,24337,507,350
流动资产净值4,536,374-40.36%7,606,2935,237,8211,708,801141,411
资产总额减流动负债65,025,388-4.91%68,383,62168,920,40066,966,36353,267,499

非流动负债
长期借款10,887,094-30.98%15,774,42618,131,74717,014,7077,803,100
应付债券5,024,5080.53%4,998,0084,886,5214,758,6974,613,048
其他非流动负债2,123,620-0.66%2,137,6242,073,7603,558,4674,413,776
18,035,222-21.28%22,910,05825,092,02825,331,87016,829,923

总权益
    实收股本5,047,1580.00%5,047,1585,047,1575,047,1565,047,154
    储备项目40,048,5963.91%38,540,84435,883,27433,561,97031,230,275
股东权益45,095,7543.46%43,588,00240,930,43138,609,12636,277,429
非控股权益1,894,4120.47%1,885,5612,897,9423,025,367160,147