000338 潍柴动力
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5,956,3489.59%5,435,1594,914,6145,174,5565,340,554
投资性房地产461,569-29.18%651,742646,133688,336621,930
固定资产52,586,041-2.02%53,670,23547,303,40644,075,96737,894,423
在建工程4,425,156-5.21%4,668,1436,500,3537,450,8227,980,410
无形资产20,595,988-6.65%22,063,34022,205,29923,071,26822,759,467
商誉24,280,647-3.91%25,268,78024,561,24824,858,31824,019,150
其他非流动资产66,381,444-4.07%69,194,30052,998,67331,002,64426,565,934
174,687,193-3.46%180,951,699159,129,728136,321,912125,181,867

流动资产
货币资金77,543,04512.85%68,712,65772,066,92792,856,86970,841,691
应收账款40,745,04918.60%34,355,08530,877,18223,753,99921,418,524
存货39,289,66911.51%35,235,65535,675,28337,930,38633,373,962
其他流动资产47,898,635-0.67%48,220,50146,130,29343,384,04742,850,044
205,476,39910.16%186,523,898184,749,685197,925,301168,484,220

流动负债
短期借款1,545,637-46.19%2,872,5381,741,7961,881,7784,609,107
应付票据44,200,65322.37%36,120,05534,125,86327,626,79622,024,751
应付帐款73,921,8168.65%68,036,63058,032,96560,126,78945,560,077
其他流动负债55,212,6021.30%54,505,01360,938,84656,414,97747,548,761
174,880,7088.26%161,534,236154,839,470146,050,340119,742,695
流动资产净值30,595,69122.43%24,989,66229,910,21551,874,96148,741,525
资产总额减流动负债205,282,884-0.32%205,941,360189,039,942188,196,873173,923,392

非流动负债
长期借款9,805,152-11.28%11,052,4018,516,55818,072,61322,782,304
应付债券10,414,67944.74%7,195,5467,116,5738,837,4116,056,953
其他非流动负债50,062,407-11.60%56,631,39851,448,15648,601,11440,973,484
70,282,238-6.14%74,879,34567,081,28675,511,13869,812,740

总权益
    实收股本8,662,145-0.59%8,713,5818,726,5578,726,5578,726,557
    储备项目87,439,5243.51%84,476,63077,969,80270,608,64364,457,697
股东权益96,101,6693.12%93,190,21286,696,35979,335,20073,184,254
非控股权益38,898,9782.71%37,871,80435,262,29833,350,53530,926,398