000903 ST云内动力
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131,5520.11%131,413125,73300
投资性房地产102,399-2.14%104,638121,409138,195150,788
固定资产2,941,460-1.24%2,978,4403,140,5963,183,5933,192,822
在建工程21,909-29.34%31,00875,774205,691348,605
无形资产1,456,068-2.96%1,500,5471,598,7861,705,3901,460,758
商誉301,5890.00%301,589372,737489,254517,770
其他非流动资产343,5154.16%329,800351,732378,703639,003
5,298,491-1.47%5,377,4365,786,7686,100,8266,309,745

流动资产
货币资金1,237,501-10.23%1,378,6001,902,1021,444,889636,824
应收账款1,268,64327.19%997,4541,197,2511,792,3261,835,329
存货1,515,9616.17%1,427,8491,914,8842,595,8692,895,719
其他流动资产297,245-28.11%413,485527,818907,4421,521,725
4,319,3502.42%4,217,3895,542,0556,740,5266,889,597

流动负债
短期借款4,080,7347.42%3,798,7484,449,6662,756,861698,476
应付票据30,208-17.48%36,60747,679588,9873,112,639
应付帐款2,490,3431.02%2,465,0772,338,6574,154,8973,005,968
其他流动负债1,803,093-9.25%1,986,9601,251,8172,039,722676,139
8,404,3791.41%8,287,3928,087,8189,540,4677,493,222
流动资产净值(4,085,029)0.37%(4,070,003)(2,545,763)(2,799,941)(603,625)
资产总额减流动负债1,213,462-7.19%1,307,4343,241,0053,300,8855,706,120

非流动负债
长期借款147,500-16.65%176,9601,024,95569,6911,218,500
应付债券0--0000
其他非流动负债446,201-5.99%474,648569,432343,462332,762
593,701-8.89%651,6081,594,387413,1531,551,262

总权益
    实收股本1,934,8440.00%1,934,8441,949,7691,970,4211,970,801
    储备项目(1,319,701)2.86%(1,283,056)(312,749)893,1912,171,698
股东权益615,144-5.62%651,7881,637,0212,863,6124,142,499
非控股权益4,61714.37%4,0379,59724,12012,359