002092 中泰化学
2025/09 - 九个月
人民币(K¥)
与去年末期
比较
2024/12
人民幣(K¥)
2023/12
人民幣(K¥)
2022/12
人民幣(K¥)
2021/12
人民幣(K¥)

非流动资产
长期股权投资1,717,017-7.01%1,846,3952,532,8553,009,6822,702,784
投资性房地产171,429-3.39%177,436185,440208,865146,046
固定资产43,804,831-3.60%45,439,52340,000,83936,580,26534,645,441
在建工程12,387,4409.33%11,330,0719,671,0929,720,4234,967,397
无形资产2,098,705-4.67%2,201,4091,718,8241,683,9971,558,948
商誉3,1420.00%3,1423,43060,46425,913
其他非流动资产2,222,004-23.64%2,909,7493,691,3575,505,6425,703,454
62,404,570-2.35%63,907,72557,803,83856,769,33749,749,983

流动资产
货币资金6,828,60943.19%4,768,9304,229,0458,117,1484,783,628
应收账款521,421-10.78%584,4481,140,3272,406,3373,503,946
存货2,802,674-10.46%3,130,2203,318,5393,512,1182,746,924
其他流动资产5,752,30724.15%4,633,2346,038,7419,660,20812,330,937
15,905,01121.26%13,116,83214,726,65223,695,81123,365,435

流动负债
短期借款5,365,2010.45%5,341,1304,758,1125,542,6347,422,585
应付票据1,884,1822.42%1,839,7361,636,6226,198,7552,597,847
应付帐款6,048,916-19.98%7,559,1706,910,5476,205,3225,761,875
其他流动负债18,247,393-0.36%18,312,72416,234,75615,733,08515,203,339
31,545,692-4.56%33,052,76129,540,03733,679,79730,985,645
流动资产净值(15,640,681)-21.55%(19,935,929)(14,813,385)(9,983,986)(7,620,211)
资产总额减流动负债46,763,8896.35%43,971,79642,990,45346,785,35142,129,772

非流动负债
长期借款12,820,26717.88%10,875,5847,340,1886,369,5384,573,665
应付债券601,907--01,643,9601,542,1232,114,859
其他非流动负债5,707,60113.01%5,050,3474,602,1805,860,9954,139,120
19,129,77520.12%15,925,93113,586,32813,772,65610,827,644

总权益
    实收股本2,590,0200.00%2,590,0202,590,0202,600,8202,575,740
    储备项目18,995,150-1.03%19,193,58220,109,55023,210,59322,694,359
股东权益21,585,170-0.91%21,783,60122,699,57025,811,41225,270,098
非控股权益6,048,944-3.41%6,262,2646,704,5557,201,2836,032,030