000767 晋控电力
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2,957,15411.44%2,653,4792,424,5952,270,1912,857,586
投资性房地产0--0000
固定资产32,333,164-4.40%33,822,50533,847,91233,564,46629,121,722
在建工程2,933,66036.50%2,149,1482,263,2792,513,8049,344,770
无形资产1,880,2977.43%1,750,2681,760,1811,681,9011,391,308
商誉15,7710.00%15,77115,77121,99366,806
其他非流动资产985,349-7.32%1,063,1562,167,3603,550,298867,976
41,105,394-0.84%41,454,32742,479,09843,602,65343,650,169

流动资产
货币资金5,877,147-15.41%6,947,8009,794,1737,291,3994,886,714
应收账款8,972,4216.11%8,455,4206,836,3076,210,3034,992,420
存货1,253,772-11.46%1,415,9781,373,2831,932,2341,050,468
其他流动资产1,688,064-24.67%2,240,9092,521,8713,104,3322,815,076
17,791,404-6.66%19,060,10620,525,63418,538,26713,744,678

流动负债
短期借款4,905,01717.81%4,163,3956,173,6137,731,6707,050,975
应付票据1,453,000-14.17%1,692,9605,573,7948,275,2637,065,321
应付帐款5,238,654-30.77%7,566,9758,116,7596,618,4565,181,514
其他流动负债8,332,092-19.69%10,375,0508,343,3649,254,7858,954,258
19,928,762-16.26%23,798,38028,207,53031,880,17428,252,068
流动资产净值(2,137,359)-54.89%(4,738,274)(7,681,896)(13,341,907)(14,507,390)
资产总额减流动负债38,968,0366.13%36,716,05334,797,20330,260,74629,142,779

非流动负债
长期借款24,293,10910.97%21,891,76318,228,20112,969,16310,946,444
应付债券0--01,021,4860609,491
其他非流动负债4,021,0560.13%4,015,9024,803,2098,015,6178,508,342
28,314,1659.29%25,907,66424,052,89620,984,78020,064,278

总权益
    实收股本3,076,9420.00%3,076,9423,076,9423,076,9423,076,942
    储备项目8,066,3700.32%8,041,0157,675,1416,089,1535,617,095
股东权益11,143,3120.23%11,117,95810,752,0849,166,0958,694,037
非控股权益(489,442)58.10%(309,569)(7,777)109,871384,464