002092 中泰化学
2026/03 -
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1,608,265-1.53%1,633,2451,846,3952,532,8553,009,682
投资性房地产165,825-1.19%167,815177,436185,440208,865
固定资产47,209,874-1.63%47,992,83245,439,52340,000,83936,580,265
在建工程8,900,5841.53%8,766,74211,330,0719,671,0929,720,423
无形资产2,100,442-1.10%2,123,8412,201,4091,718,8241,683,997
商誉3,1420.00%3,1423,1423,43060,464
其他非流动资产2,143,2386.51%2,012,2252,909,7493,691,3575,505,642
62,131,371-0.91%62,699,84263,907,72557,803,83856,769,337

流动资产
货币资金7,844,90534.38%5,837,8184,768,9304,229,0458,117,148
应收账款713,29320.89%590,011584,4481,140,3272,406,337
存货3,368,5235.03%3,207,2163,130,2203,318,5393,512,118
其他流动资产4,831,1578.44%4,455,0084,633,2346,038,7419,660,208
16,757,87818.93%14,090,05413,116,83214,726,65223,695,811

流动负债
短期借款6,560,69617.47%5,585,0955,341,1304,758,1125,542,634
应付票据949,92710.96%856,1091,839,7361,636,6226,198,755
应付帐款6,396,084-6.67%6,853,2517,559,1706,910,5476,205,322
其他流动负债18,218,2291.37%17,972,34718,312,72416,234,75615,733,085
32,124,9372.74%31,266,80233,052,76129,540,03733,679,797
流动资产净值(15,367,059)-10.54%(17,176,748)(19,935,929)(14,813,385)(9,983,986)
资产总额减流动负债46,764,3122.73%45,523,09443,971,79642,990,45346,785,351

非流动负债
长期借款14,417,35016.75%12,348,86210,875,5847,340,1886,369,538
应付债券610,5830.71%606,29301,643,9601,542,123
其他非流动负债5,591,392-10.50%6,247,5985,050,3474,602,1805,860,995
20,619,3257.38%19,202,75315,925,93113,586,32813,772,656

总权益
    实收股本2,590,0200.00%2,590,0202,590,0202,590,0202,600,820
    储备项目18,796,745-0.72%18,932,38819,193,58220,109,55023,210,593
股东权益21,386,764-0.63%21,522,40721,783,60122,699,57025,811,412
非控股权益4,758,223-0.83%4,797,9346,262,2646,704,5557,201,283