000726 鲁泰A
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219,421119.69%99,878120,084143,537184,169
投资性房地产17,322-2.54%17,77318,67619,57820,461
固定资产5,382,641-5.66%5,705,3266,053,7565,597,6935,807,848
在建工程152,37469.01%90,15795,027868,497199,944
无形资产317,249-1.64%322,549333,385343,348352,890
商誉20,5640.00%20,56420,56420,56420,564
其他非流动资产763,700-35.89%1,191,2681,277,158867,3751,219,793
6,873,271-7.71%7,447,5147,918,6497,860,5917,805,668

流动资产
货币资金1,623,050-32.28%2,396,8512,055,8571,558,2522,067,768
应收账款779,347-12.41%889,743849,169826,468660,428
存货2,167,3002.85%2,107,3002,019,8842,124,1402,107,850
其他流动资产916,781-27.55%1,265,3541,086,1571,060,836709,384
5,486,478-17.61%6,659,2496,011,0665,569,6955,545,430

流动负债
短期借款490,475-24.87%652,837849,687580,705518,946
应付票据14,647--00055,450
应付帐款215,170-7.39%232,348272,079275,503246,588
其他流动负债890,922-63.80%2,461,181653,955769,2411,030,835
1,611,214-51.85%3,346,3661,775,7211,625,4491,851,820
流动资产净值3,875,26416.98%3,312,8824,235,3453,944,2463,693,610
资产总额减流动负债10,748,535-0.11%10,760,39612,153,99511,804,83811,499,277

非流动负债
长期借款169,731-31.54%247,913396,244259,993186,431
应付债券0--01,509,4201,476,5721,438,162
其他非流动负债384,3120.50%382,388426,762450,805466,778
554,043-12.10%630,3012,332,4272,187,3702,091,371

总权益
    实收股本817,5260.03%817,307817,306863,608887,633
    储备项目9,060,7490.74%8,993,7478,621,4228,367,1998,126,524
股东权益9,878,2740.69%9,811,0549,438,7289,230,8079,014,157
非控股权益316,217-0.89%319,041382,839386,661393,749