002672 东江环保
2026/06 - 中期
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279,344-2.30%285,915277,317277,264271,342
投资性房地产420,3100.00%420,310549,763522,790518,285
固定资产4,022,390-6.08%4,282,9974,733,1785,148,3834,306,342
在建工程27,66680.66%15,31430,397225,6171,086,114
无形资产1,205,181-2.58%1,237,0681,275,4231,159,9951,238,775
商誉378,0000.00%378,000683,552848,340985,053
其他非流动资产157,482-0.85%158,838164,893318,152305,545
6,490,373-4.25%6,778,4427,714,5238,500,5408,711,456

流动资产
货币资金1,019,673-15.50%1,206,6691,181,9161,240,598622,716
应收账款670,425-10.12%745,8881,023,5981,021,9481,118,529
存货642,4450.49%639,318775,090789,825649,715
其他流动资产504,537-6.10%537,311583,353608,587635,963
2,837,081-9.33%3,129,1863,563,9573,660,9573,026,923

流动负债
短期借款1,718,9874.26%1,648,7291,197,0121,268,986956,741
应付票据20,000--0000
应付帐款420,024-19.38%521,018614,737675,266686,424
其他流动负债1,543,395-27.11%2,117,3802,065,4801,331,8191,815,265
3,702,406-13.64%4,287,1273,877,2293,276,0723,458,429
流动资产净值(865,325)-25.27%(1,157,941)(313,272)384,885(431,506)
资产总额减流动负债5,625,0480.08%5,620,5017,401,2508,885,4268,279,949

非流动负债
长期借款1,642,08126.47%1,298,4372,300,9133,390,9082,577,062
应付债券910,9350.20%909,147499,3860499,813
其他非流动负债558,682-5.46%590,935450,061452,622423,646
3,111,69811.19%2,798,5193,250,3603,843,5293,500,521

总权益
    实收股本1,105,2560.00%1,105,2561,105,2561,105,256879,267
    储备项目1,006,820-20.78%1,270,8512,494,5943,391,1683,179,327
股东权益2,112,076-11.11%2,376,1063,599,8504,496,4234,058,595
非控股权益401,274-10.00%445,875551,040545,473720,833