002534 西子洁能
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456,696-16.56%547,352835,545472,285441,002
投资性房地产1,175,352-1.75%1,196,2801,235,4121,048,4403,560
固定资产1,828,831-1.78%1,862,0001,394,7401,056,8771,945,348
在建工程402,75838.48%290,847405,053487,48193,313
无形资产490,167-3.47%507,791506,370413,990251,522
商誉55,7380.00%55,738154,27620,53920,539
其他非流动资产846,75911.41%760,039536,357523,809283,332
5,256,3010.69%5,220,0465,067,7554,023,4213,038,617

流动资产
货币资金3,072,402-20.00%3,840,6663,613,4323,754,2232,437,321
应收账款2,256,30022.77%1,837,7581,855,9881,073,192754,751
存货1,418,4061.40%1,398,8021,903,0171,706,754927,421
其他流动资产3,334,139-8.79%3,655,5353,512,9713,383,2213,251,160
10,081,247-6.07%10,732,76110,885,4089,917,3907,370,653

流动负债
短期借款221,536-59.38%545,331903,945349,498400,394
应付票据1,378,374-14.46%1,611,4211,321,3171,089,482728,062
应付帐款3,711,863-0.60%3,734,2533,721,6102,995,2012,344,286
其他流动负债2,994,284-12.08%3,405,5423,363,8493,307,8342,360,320
8,306,057-10.65%9,296,5479,310,7217,742,0155,833,062
流动资产净值1,775,19023.60%1,436,2141,574,6872,175,3751,537,591
资产总额减流动负债7,031,4915.64%6,656,2596,642,4426,198,7964,576,208

非流动负债
长期借款439,9893.03%427,053628,080348,476100,000
应付债券1,084,6523.54%1,047,5191,005,910964,0610
其他非流动负债841,4991.44%829,576889,858872,397749,211
2,366,1402.69%2,304,1482,523,8472,184,934849,211

总权益
    实收股本739,2050.00%739,203739,202739,201739,201
    储备项目3,484,34010.09%3,165,0862,960,7842,898,1802,644,311
股东权益4,223,5458.18%3,904,2893,699,9873,637,3813,383,512
非控股权益441,806-1.34%447,823418,608376,481343,485