600956 新天绿能
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3,514,624-4.60%3,683,9643,677,4073,596,5733,393,719
投资性房地产21,059-2.56%21,61222,71723,82224,927
固定资产52,469,8412.84%51,022,50849,808,79548,822,52432,773,612
在建工程15,689,2488.92%14,404,5288,405,2256,510,38619,162,912
无形资产4,052,7753.06%3,932,4883,561,9193,034,3272,121,213
商誉271,3850.00%271,385166,033166,03396,922
其他非流动资产4,583,1770.71%4,550,7903,952,5113,908,0354,753,902
80,602,1103.49%77,887,27469,594,60666,061,70162,327,206

流动资产
货币资金4,776,865-1.37%4,843,3753,056,2633,420,0537,326,059
应收账款6,793,9424.68%6,490,1037,152,0266,217,6845,345,149
存货1,016,551-49.37%2,007,7812,162,586967,716104,531
其他流动资产1,972,840-12.81%2,262,6512,051,0012,349,4402,309,603
14,560,197-6.69%15,603,91114,421,87612,954,89215,085,343

流动负债
短期借款3,215,891-17.31%3,889,2813,938,5972,410,5132,698,367
应付票据5,987--03,0483,40413,650
应付帐款730,948-16.87%879,331537,611483,829402,815
其他流动负债22,190,4956.17%20,901,43918,119,82515,795,41916,094,255
26,143,3211.84%25,670,05122,599,08118,693,16619,209,087
流动资产净值(11,583,124)15.07%(10,066,140)(8,177,205)(5,738,273)(4,123,744)
资产总额减流动负债69,018,9861.77%67,821,13461,417,40160,323,42758,203,462

非流动负债
长期借款35,634,0380.24%35,549,18533,520,65630,693,34930,429,353
应付债券500,000--001,840,0001,500,000
其他非流动负债882,03914.65%769,317784,0011,049,3091,092,853
37,016,0771.92%36,318,50234,304,65733,582,65833,022,205

总权益
    实收股本4,512,6930.00%4,512,6934,205,6934,187,0934,187,093
    储备项目21,392,7521.84%21,005,56017,487,65717,689,64116,274,339
股东权益25,905,4451.52%25,518,25321,693,35021,876,73420,461,432
非控股权益6,097,4641.89%5,984,3795,419,3944,864,0364,719,825