002267 陕天然气
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564,5921.46%556,491479,586452,145718,074
投资性房地产61,315-1.69%62,37260,98913,41413,746
固定资产8,600,7654.48%8,231,6018,202,0048,225,3588,350,809
在建工程1,323,370-9.34%1,459,6781,406,5181,310,152949,302
无形资产669,7153.48%647,190623,011622,311573,081
商誉124,4480.00%124,448144,920151,718166,870
其他非流动资产138,947-10.27%154,850217,166200,001298,223
11,483,1512.19%11,236,62911,134,19410,975,09911,070,105

流动资产
货币资金890,1748.63%819,4371,045,8091,150,5521,173,480
应收账款132,136-15.54%156,457268,127393,658558,074
存货286,0140.79%283,769188,472216,856201,382
其他流动资产160,086-50.00%320,140390,833257,145316,070
1,468,410-7.05%1,579,8031,893,2422,018,2112,249,006

流动负债
短期借款542,725-11.73%614,824449,717613,5251,141,139
应付票据96,21760.36%60,0000020,117
应付帐款929,834-11.13%1,046,2321,767,0291,776,5242,060,643
其他流动负债2,077,970-33.77%3,137,3003,047,6531,882,4321,967,152
3,646,746-24.94%4,858,3555,264,3994,272,4815,189,051
流动资产净值(2,178,336)-33.56%(3,278,552)(3,371,157)(2,254,270)(2,940,045)
资产总额减流动负债9,304,81516.92%7,958,0777,763,0378,720,8298,130,060

非流动负债
长期借款911,5416.68%854,430401,548865,949686,131
应付债券1,211,747563.23%182,705512,1771,021,030508,853
其他非流动负债65,603-1.25%66,434246,758196,757532,505
2,188,89198.35%1,103,5691,160,4832,083,7361,727,489

总权益
    实收股本1,112,0750.00%1,112,0751,112,0751,112,0751,112,075
    储备项目5,702,9214.67%5,448,5055,208,3155,251,7515,035,904
股东权益6,814,9963.88%6,560,5806,320,3916,363,8276,147,980
非控股权益300,9282.38%293,927282,163273,266254,591