000720 新能泰山
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20,9472.34%20,46862,58958,30755,487
投资性房地产231,378-3.50%239,780250,978276,896288,698
固定资产64,350-8.68%70,46474,59962,15768,047
在建工程0--0000
无形资产7,349-22.28%9,45612,18014,88616,983
商誉1,1520.00%1,1521,1521,1521,152
其他非流动资产187,007-0.71%188,342234,834265,673331,993
512,183-3.30%529,661636,332679,070762,359

流动资产
货币资金175,732-25.63%236,285125,365284,575285,594
应收账款591,551-57.93%1,406,2521,304,3341,593,8551,845,072
存货3,554,5906.70%3,331,4832,996,7752,900,9072,533,456
其他流动资产374,85846.38%256,092224,456126,54686,138
4,696,731-10.20%5,230,1124,650,9304,905,8834,750,260

流动负债
短期借款1,137,481-29.01%1,602,3691,310,8301,814,0981,652,248
应付票据117,861-34.77%180,69672,539112,084152,000
应付帐款533,7569.65%486,787467,646610,082364,027
其他流动负债190,857-54.14%416,181367,882157,278252,944
1,979,956-26.29%2,686,0332,218,8982,693,5432,421,220
流动资产净值2,716,7756.79%2,544,0792,432,0322,212,3412,329,041
资产总额减流动负债3,228,9585.05%3,073,7413,068,3642,891,4113,091,400

非流动负债
长期借款769,09926.80%606,550476,159198,036200,000
应付债券0--0000
其他非流动负债3,973-37.90%6,3985,01740,915106,556
773,07226.12%612,947481,176238,951306,556

总权益
    实收股本1,256,5320.00%1,256,5321,256,5321,289,6511,289,651
    储备项目1,101,221-0.24%1,103,9231,234,6391,267,4741,397,854
股东权益2,357,752-0.11%2,360,4552,491,1702,557,1252,687,505
非控股权益98,134-2.20%100,33896,01895,33597,045