601019 山东出版
2026/03 -
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97,777102.84%48,20549,16249,8760
投资性房地产332,608-2.29%340,417359,111381,117392,653
固定资产3,753,461-1.43%3,807,9613,809,0023,771,5963,455,875
在建工程214,46210.13%194,740264,689302,033468,354
无形资产754,793-1.23%764,178790,862841,081908,858
商誉2,1950.00%2,195000
其他非流动资产5,612,933135.47%2,383,7323,333,6874,629,6851,601,619
10,768,22942.79%7,541,4278,606,5149,975,3886,827,359

流动资产
货币资金4,255,294-32.47%6,300,9946,046,6536,870,7357,716,685
应收账款2,395,16444.41%1,658,5921,546,1701,370,3891,614,736
存货2,053,73322.48%1,676,8551,911,0492,057,2201,661,975
其他流动资产3,366,377-33.35%5,050,7443,730,5782,579,8302,831,537
12,070,568-17.82%14,687,18413,234,45012,878,17413,824,934

流动负债
短期借款103,053915.40%10,14916,96279,784116,609
应付票据13,436459.83%2,400022,4690
应付帐款3,130,12314.95%2,723,1292,818,4373,345,9002,928,542
其他流动负债2,662,356-7.52%2,878,8182,775,3113,196,5242,924,953
5,908,9695.24%5,614,4965,610,7096,644,6785,970,104
流动资产净值6,161,599-32.09%9,072,6887,623,7416,233,4967,854,829
资产总额减流动负债16,929,8281.90%16,614,11516,230,25416,208,88414,682,189

非流动负债
长期借款0--0000
应付债券0--0000
其他非流动负债1,228,976-0.82%1,239,1181,303,4901,346,3811,258,820
1,228,976-0.82%1,239,1181,303,4901,346,3811,258,820

总权益
    实收股本2,086,9000.00%2,086,9002,086,9002,086,9002,086,900
    储备项目13,626,0652.47%13,297,68512,845,62312,778,37611,336,400
股东权益15,712,9652.13%15,384,58514,932,52314,865,27613,423,300
非控股权益(12,113)26.35%(9,587)(5,759)(2,773)69