601006 大秦铁路
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26,493,7869.11%24,280,94023,938,37626,514,93126,361,888
投资性房地产0--0000
固定资产84,333,123-4.30%88,125,56987,062,31486,899,31484,015,861
在建工程4,043,759181.67%1,435,6141,425,295740,3352,338,975
无形资产10,558,496-1.41%10,709,2919,269,9119,407,1308,865,380
商誉0--0000
其他非流动资产2,932,01319.79%2,447,5812,568,5432,852,5431,774,385
128,361,1771.07%126,998,994124,264,439126,414,254123,356,489

流动资产
货币资金63,159,474-6.17%67,315,60262,603,49759,416,29352,087,376
应收账款5,595,83712.47%4,975,4547,996,5166,198,0226,426,586
存货1,943,6771.36%1,917,5381,836,6561,692,6271,846,135
其他流动资产10,714,86965.72%6,465,6345,595,9164,825,1017,425,797
81,413,8580.92%80,674,22878,032,58672,132,04367,785,895

流动负债
短期借款193,131407.89%38,026223,517922,018121,096
应付票据56,878-70.72%194,2801,436,8762,671,6032,180
应付帐款4,582,751-11.18%5,159,6474,497,8703,260,4493,259,118
其他流动负债10,003,382-1.51%10,156,72611,258,99811,318,44410,514,433
14,836,143-4.58%15,548,68017,417,26018,172,51313,896,827
流动资产净值66,577,7152.23%65,125,54860,615,32553,959,53053,889,068
资产总额减流动负债194,938,8921.46%192,124,542184,879,764180,373,784177,245,557

非流动负债
长期借款9,959,667-6.79%10,685,57511,041,49211,822,16412,173,834
应付债券10,662,049-58.53%25,708,78130,227,17729,570,02328,650,493
其他非流动负债3,657,76510.09%3,322,6483,421,8813,653,1102,420,795
24,279,481-38.87%39,717,00544,690,55045,045,29743,245,122

总权益
    实收股本18,257,25015.94%15,747,31514,866,94614,866,90814,866,791
    储备项目136,813,23612.13%122,015,557113,416,662109,534,288109,343,494
股东权益155,070,48612.56%137,762,871128,283,608124,401,196124,210,285
非控股权益15,588,9246.45%14,644,66611,905,60610,927,2909,790,150