002078 太阳纸业
2024/09 - 九个月
人民币(K¥)
与去年末期
比较
2023/12
人民幣(K¥)
2022/12
人民幣(K¥)
2021/12
人民幣(K¥)
2020/12
人民幣(K¥)

非流动资产
长期股权投资302,7319.12%277,436255,956240,589203,837
投资性房地产28,735-2.48%29,46630,43531,40932,566
固定资产33,064,984-2.65%33,966,14328,873,97627,891,25020,954,488
在建工程2,515,006339.10%572,7663,272,981294,1912,435,143
无形资产1,940,4753.06%1,882,8021,766,7551,274,0641,023,222
商誉19,3130.00%19,31339,41439,41439,414
其他非流动资产1,058,18713.21%934,7361,194,4131,684,8511,176,866
38,929,4313.31%37,682,66235,433,93031,455,76825,865,536

流动资产
货币资金3,016,11320.88%2,495,1282,386,4403,467,7412,969,720
应收账款3,252,48466.44%1,954,1942,232,6071,786,5541,609,541
存货4,315,608-5.66%4,574,3905,339,0863,506,4932,896,624
其他流动资产2,309,712-39.92%3,844,3792,629,8022,489,7132,524,918
12,893,9170.20%12,868,09112,587,93511,250,50110,000,804

流动负债
短期借款7,220,585-10.62%8,078,6218,169,3857,697,6927,764,423
应付票据160,000-67.44%491,3621,116,7501,221,535440,667
应付帐款3,738,819-13.53%4,323,6323,915,0983,883,8302,440,622
其他流动负债5,078,23127.42%3,985,4764,246,7555,068,3393,756,059
16,197,636-4.04%16,879,09017,447,98717,871,39514,401,771
流动资产净值(3,303,719)-17.63%(4,010,999)(4,860,052)(6,620,894)(4,400,967)
资产总额减流动负债35,625,7125.80%33,671,66330,573,87824,834,87321,464,569

非流动负债
长期借款7,300,1198.92%6,702,3446,639,6975,391,3873,208,922
应付债券0--000830,251
其他非流动负债532,464-34.59%814,005759,520657,1421,186,804
7,832,5834.21%7,516,3497,399,2176,048,5295,225,977

总权益
    实收股本2,794,535-0.00%2,794,5732,794,6842,687,0032,624,626
    储备项目24,885,6327.00%23,256,63520,290,30516,018,50013,487,004
股东权益27,680,1676.25%26,051,20823,084,98918,705,50316,111,631
非控股权益112,9628.51%104,10589,67280,841126,962