600010 包钢股份
2024/06 - 中期
人民币(K¥)
与去年末期
比较
2023/12
人民幣(K¥)
2022/12
人民幣(K¥)
2021/12
人民幣(K¥)
2020/12
人民幣(K¥)

非流动资产
长期股权投资1,344,9382.78%1,308,6231,212,7751,360,5661,224,801
投资性房地产0--0000
固定资产65,687,747-0.93%66,307,02360,616,92959,037,13366,396,198
在建工程2,161,00279.07%1,206,7941,575,6101,046,031512,213
无形资产2,364,674-2.47%2,424,5902,551,5052,679,0632,806,092
商誉0--0000
其他非流动资产42,722,0883.00%41,478,76342,491,50542,231,65234,144,504
114,280,4491.38%112,725,792108,448,325106,354,445105,083,807

流动资产
货币资金10,433,55412.58%9,267,67511,140,72311,144,7058,713,761
应收账款4,262,24318.23%3,604,9672,836,4322,371,0663,232,713
存货15,555,580-5.76%16,506,86817,418,13319,452,40018,506,274
其他流动资产10,405,7347.60%9,670,3356,886,4788,645,3208,685,721
40,657,1124.12%39,049,84438,281,76741,613,49139,138,468

流动负债
短期借款8,693,4559.40%7,946,3157,739,58510,245,33410,129,453
应付票据11,285,6024.64%10,784,75712,430,62210,176,77811,599,277
应付帐款16,148,810-3.50%16,735,07818,145,62720,374,34019,287,822
其他流动负债33,624,422-3.12%34,707,14829,487,37825,721,96716,337,841
69,752,288-0.60%70,173,29767,803,21266,518,41957,354,392
流动资产净值(29,095,176)-6.52%(31,123,453)(29,521,445)(24,904,928)(18,215,924)
资产总额减流动负债85,185,2734.39%81,602,34078,926,88081,449,51786,867,883

非流动负债
长期借款15,506,99815.34%13,444,07511,046,5479,373,1218,207,975
应付债券1,579,212-13.16%1,818,4853,018,0144,936,61413,541,511
其他非流动负债6,481,80332.92%4,876,5083,459,7152,937,0163,501,095
23,568,01317.03%20,139,06817,524,27617,246,75125,250,580

总权益
    实收股本45,404,9420.00%45,404,94245,585,03345,585,03345,585,033
    储备项目6,598,8152.86%6,415,1756,851,2579,680,8757,208,060
股东权益52,003,7570.35%51,820,11752,436,28955,265,90852,793,093
非控股权益9,613,503-0.31%9,643,1548,966,3158,936,8578,824,210