300388 节能国祯
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468,5103.03%454,750412,906365,301284,878
投资性房地产0--0000
固定资产149,901-7.28%161,673172,887207,051220,917
在建工程53,214319.31%12,6911,0372401,391,850
无形资产8,346,294-1.26%8,452,7978,874,2169,070,0462,169,019
商誉151,3160.00%151,316151,316165,218204,531
其他非流动资产1,497,79110.18%1,359,344336,317446,1646,050,334
10,667,0260.70%10,592,5709,948,67810,254,01910,321,529

流动资产
货币资金1,141,70341.68%805,8101,156,7671,391,6151,508,544
应收账款3,063,27222.41%2,502,5542,005,3661,461,4981,351,397
存货129,96665.94%78,32190,208192,681226,722
其他流动资产1,595,621-10.26%1,778,0271,805,0061,708,7071,433,928
5,930,56314.83%5,164,7135,057,3484,754,5014,520,591

流动负债
短期借款1,561,261-3.05%1,610,3391,381,6951,808,7921,612,866
应付票据155,07433.61%116,062102,503168,744256,996
应付帐款2,374,212-3.07%2,449,2882,168,0452,392,2232,034,330
其他流动负债1,618,699-15.91%1,925,0681,282,982810,341930,432
5,709,246-6.42%6,100,7584,935,2255,180,1004,834,623
流动资产净值221,317-123.64%(936,045)122,123(425,599)(314,032)
资产总额减流动负债10,888,34312.76%9,656,52510,070,8019,828,42010,007,497

非流动负债
长期借款5,763,29015.34%4,996,9515,632,7375,350,8505,196,855
应付债券0--00234,000225,824
其他非流动负债460,328151.77%182,837234,460310,963390,916
6,223,61820.15%5,179,7895,867,1975,895,8135,813,595

总权益
    实收股本681,042-2.58%699,083698,962698,962698,959
    储备项目3,693,5185.61%3,497,2493,228,3882,933,2863,187,894
股东权益4,374,5604.25%4,196,3323,927,3503,632,2483,886,853
非控股权益290,1653.48%280,404276,254300,359307,049