600475 华光环能
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2,149,060-0.03%2,149,6482,038,8251,395,6031,262,008
投资性房地产11,746125.32%5,2132,4165,4899,270
固定资产6,148,1237.74%5,706,6215,377,6893,369,7573,722,765
在建工程492,725-43.99%879,719793,6071,049,152578,864
无形资产3,137,009-1.08%3,171,1143,249,4242,979,2972,731,763
商誉223,4640.00%223,464223,46400
其他非流动资产4,241,6100.89%4,204,2153,924,7453,137,5213,159,522
16,403,7380.39%16,339,99515,610,16911,936,82011,464,191

流动资产
货币资金2,956,83017.74%2,511,3652,787,1652,587,3522,201,694
应收账款2,725,76712.72%2,418,1512,104,1511,988,2751,819,719
存货1,143,23524.75%916,446996,591707,811717,265
其他流动资产3,938,713-5.16%4,153,2184,646,8023,905,5363,463,229
10,764,5457.65%9,999,18010,534,7099,188,9758,201,907

流动负债
短期借款1,959,11632.89%1,474,2751,417,630965,510944,635
应付票据1,456,84935.24%1,077,2621,305,217950,978743,903
应付帐款3,545,473-8.74%3,884,8894,201,0543,539,7233,348,263
其他流动负债3,322,472-23.74%4,356,5753,310,1752,602,9012,443,665
10,283,910-4.72%10,793,00110,234,0768,059,1127,480,466
流动资产净值480,634-160.55%(793,821)300,6331,129,863721,441
资产总额减流动负债16,884,3728.61%15,546,17415,910,80213,066,68212,185,632

非流动负债
长期借款3,438,83218.31%2,906,6032,724,6891,967,7501,898,830
应付债券1,800,000100.00%900,0001,900,0001,200,0001,000,000
其他非流动负债974,6246.99%910,9421,027,024812,470775,975
6,213,45631.71%4,717,5455,651,7133,980,2193,674,805

总权益
    实收股本955,9660.00%955,966943,663943,894726,826
    储备项目7,737,059-1.59%7,861,9947,382,2516,840,7876,550,922
股东权益8,693,025-1.42%8,817,9608,325,9147,784,6817,277,749
非控股权益1,977,892-1.63%2,010,6701,933,1751,301,7821,233,078