600116 三峡水利
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2,087,8602.02%2,046,5081,649,1711,500,4101,001,281
投资性房地产154,4410.98%152,935120,291139,403232,923
固定资产10,658,1432.75%10,372,8819,514,6178,487,7298,835,291
在建工程1,409,91750.99%933,797644,5891,179,816401,057
无形资产1,190,567-2.40%1,219,8321,201,0881,232,1431,255,016
商誉3,062,4780.00%3,062,4783,062,4783,062,4783,074,387
其他非流动资产865,875-18.66%1,064,522877,370875,3301,028,455
19,429,2803.06%18,852,95317,069,60316,477,30815,828,410

流动资产
货币资金1,373,878-27.05%1,883,4411,666,8701,750,4011,775,067
应收账款1,660,11852.61%1,087,816970,498721,902613,449
存货340,54015.99%293,600237,118421,421264,648
其他流动资产1,541,0918.58%1,419,3701,916,3271,881,0251,001,566
4,915,6274.94%4,684,2264,790,8144,774,7483,654,730

流动负债
短期借款4,395,47631.71%3,337,2001,602,5542,133,3173,258,694
应付票据99,362-74.10%383,700507,248254,667351,320
应付帐款1,303,03515.23%1,130,776889,610708,941779,579
其他流动负债2,306,903-14.84%2,709,0172,272,2581,935,2282,174,478
8,104,7757.20%7,560,6945,271,6715,032,1526,564,071
流动资产净值(3,189,148)10.87%(2,876,467)(480,857)(257,404)(2,909,341)
资产总额减流动负债16,240,1321.65%15,976,48616,588,74616,219,90412,919,069

非流动负债
长期借款2,859,7379.08%2,621,6163,569,9904,214,6101,697,163
应付债券1,000,0000.00%1,000,0001,000,00000
其他非流动负债870,113-6.65%932,106722,171794,755747,378
4,729,8503.87%4,553,7215,292,1615,009,3652,444,541

总权益
    实收股本1,912,1430.00%1,912,1431,912,1431,912,1431,912,143
    储备项目9,354,2971.11%9,251,6039,130,3229,011,8648,296,881
股东权益11,266,4390.92%11,163,74611,042,46510,924,00710,209,024
非控股权益243,843-5.86%259,018254,120286,532265,503