000767 晋控电力
2025/09 - 九个月
人民币(K¥)
与去年末期
比较
2024/12
人民幣(K¥)
2023/12
人民幣(K¥)
2022/12
人民幣(K¥)
2021/12
人民幣(K¥)

非流动资产
长期股权投资3,258,7419.62%2,972,8862,653,4792,424,5952,270,191
投资性房地产0--0000
固定资产30,875,404-3.61%32,032,33733,822,50533,847,91233,564,466
在建工程5,180,62926.46%4,096,5542,149,1482,263,2792,513,804
无形资产1,904,6170.75%1,890,4161,750,2681,760,1811,681,901
商誉11,4700.00%11,47015,77115,77121,993
其他非流动资产859,930-4.17%897,3181,063,1562,167,3603,550,298
42,090,7910.45%41,900,98141,454,32742,479,09843,602,653

流动资产
货币资金5,413,97046.44%3,697,0126,947,8009,794,1737,291,399
应收账款8,274,998-8.31%9,024,7608,455,4206,836,3076,210,303
存货1,352,236-23.49%1,767,3261,415,9781,373,2831,932,234
其他流动资产1,675,468-22.76%2,169,2482,240,9092,521,8713,104,332
16,716,6720.35%16,658,34619,060,10620,525,63418,538,267

流动负债
短期借款3,443,20813.66%3,029,2944,163,3956,173,6137,731,670
应付票据1,000,000-29.31%1,414,7181,692,9605,573,7948,275,263
应付帐款4,452,018-23.26%5,801,6437,566,9758,116,7596,618,456
其他流动负债8,158,473-2.22%8,343,39810,375,0508,343,3649,254,785
17,053,700-8.26%18,589,05323,798,38028,207,53031,880,174
流动资产净值(337,027)-82.54%(1,930,707)(4,738,274)(7,681,896)(13,341,907)
资产总额减流动负债41,753,7644.46%39,970,27436,716,05334,797,20330,260,746

非流动负债
长期借款27,825,2188.86%25,560,88821,891,76318,228,20112,969,163
应付债券0--001,021,4860
其他非流动负债3,388,221-7.29%3,654,8154,015,9024,803,2098,015,617
31,213,4396.84%29,215,70325,907,66424,052,89620,984,780

总权益
    实收股本3,076,9420.00%3,076,9423,076,9423,076,9423,076,942
    储备项目8,169,487-1.85%8,323,8178,041,0157,675,1416,089,153
股东权益11,246,430-1.35%11,400,75911,117,95810,752,0849,166,095
非控股权益(706,105)9.27%(646,189)(309,569)(7,777)109,871