600259 中稀有色
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1,508,19828.82%1,170,752998,547885,158826,783
投资性房地产39,036-3.03%40,25543,9453,8291,479
固定资产1,051,771-2.41%1,077,7471,110,021938,552404,619
在建工程411,64425.58%327,784287,530392,424777,634
无形资产803,694-3.04%828,935885,202916,7391,020,791
商誉0--0000
其他非流动资产488,315-3.91%508,167607,446223,052222,662
4,302,6578.83%3,953,6403,932,6903,359,7553,253,967

流动资产
货币资金1,330,21133.33%997,714717,598822,7611,009,272
应收账款331,251226.49%101,458108,338118,177100,670
存货2,042,07336.40%1,497,1151,709,4752,815,9522,634,425
其他流动资产508,32056.18%325,470961,894560,277327,395
4,211,85444.15%2,921,7573,497,3064,317,1684,071,763

流动负债
短期借款1,311,32286.40%703,482601,3631,444,442918,039
应付票据869,62682.00%477,810504,588376,921519,407
应付帐款341,33172.85%197,473315,284278,920188,693
其他流动负债1,021,66420.02%851,2441,226,694563,9921,350,723
3,543,94358.92%2,230,0082,647,9292,664,2742,976,861
流动资产净值667,911-3.45%691,749849,3771,652,8941,094,901
资产总额减流动负债4,970,5687.00%4,645,3884,782,0675,012,6484,348,869

非流动负债
长期借款226,42018.66%190,812347,266380,0000
应付债券399,9790.01%399,940399,901199,963199,943
其他非流动负债272,344-16.53%326,284397,654473,874583,474
898,743-1.99%917,0361,144,8211,053,836783,417

总权益
    实收股本336,4360.00%336,436336,436336,436336,436
    储备项目3,511,13211.32%3,154,2173,023,6193,314,2483,103,570
股东权益3,847,56810.22%3,490,6533,360,0553,650,6843,440,006
非控股权益224,257-5.66%237,699277,191308,128125,446