600162 香江控股
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59,4401.61%58,49768,947180,928301,258
投资性房地产3,643,960-1.49%3,699,0433,812,8273,862,4023,734,743
固定资产492,601-3.58%510,888537,043578,557659,686
在建工程80,5782.03%78,971104,546100,69497,975
无形资产66,371-2.49%68,06972,01176,37882,498
商誉0--0000
其他非流动资产423,822-9.80%469,855727,063895,0741,328,199
4,766,771-2.43%4,885,3255,322,4375,694,0336,204,360

流动资产
货币资金1,040,99832.24%787,1971,121,9601,565,9883,249,120
应收账款42,697-11.10%48,03050,34137,13027,137
存货9,281,240-1.04%9,379,1539,301,30311,404,77212,670,178
其他流动资产1,084,1642.19%1,060,9571,016,0001,445,8012,221,488
11,449,0991.54%11,275,33711,489,60314,453,69118,167,924

流动负债
短期借款760,748-5.82%807,750710,16731,000886,458
应付票据6,746-11.83%7,65133,86457,45894,228
应付帐款2,451,040-2.92%2,524,7702,634,4093,148,9863,746,548
其他流动负债5,953,5936.49%5,590,5515,501,3348,460,4778,720,261
9,172,1272.70%8,930,7228,879,77411,697,92113,447,495
流动资产净值2,276,972-2.89%2,344,6152,609,8302,755,7694,720,428
资产总额减流动负债7,043,743-2.58%7,229,9407,932,2668,449,80210,924,788

非流动负债
长期借款1,593,723-8.10%1,734,2351,843,6351,650,6553,161,660
应付债券0--000149,553
其他非流动负债66,885-6.68%71,669364,225479,434852,619
1,660,607-8.05%1,805,9032,207,8602,130,0894,163,832

总权益
    实收股本3,268,4380.00%3,268,4383,268,4383,268,4383,268,438
    储备项目2,462,716-0.67%2,479,4052,630,7983,049,8153,373,235
股东权益5,731,154-0.29%5,747,8435,899,2366,318,2536,641,673
非控股权益(348,018)7.48%(323,807)(174,830)1,460119,284