000155 川能动力
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194,066-3.77%201,662213,855207,1776,982
投资性房地产0--0000
固定资产8,891,951-4.10%9,272,5856,839,4516,368,8226,553,257
在建工程2,098,14493.62%1,083,6402,345,0261,167,599609,256
无形资产4,443,134-1.81%4,525,0684,651,8934,733,5324,753,540
商誉1,8770.00%1,8771,8771,8771,877
其他非流动资产1,715,176199.99%571,747537,364594,046259,357
17,344,34910.78%15,656,57814,589,46613,073,05312,184,270

流动资产
货币资金6,714,03822.22%5,493,4423,589,2523,251,3172,913,771
应收账款1,943,885-17.18%2,347,0932,352,3921,995,3542,328,021
存货429,66155.19%276,857168,01973,80076,157
其他流动资产1,831,07926.19%1,451,0921,071,458954,643864,275
10,918,66314.11%9,568,4847,181,1216,275,1146,182,224

流动负债
短期借款718,334-8.09%781,5321,150,718840,729335,422
应付票据30,429-33.77%45,94558,146228,267153,346
应付帐款1,439,652-22.63%1,860,8221,671,8221,692,4031,716,884
其他流动负债2,400,21544.32%1,663,0941,650,8381,358,2042,027,952
4,588,6305.45%4,351,3924,531,5244,119,6044,233,604
流动资产净值6,330,03321.33%5,217,0912,649,5972,155,5101,948,620
资产总额减流动负债23,674,38213.42%20,873,67017,239,06315,228,56314,132,890

非流动负债
长期借款9,836,28926.03%7,804,8107,045,1596,061,2736,127,477
应付债券200,0000.00%200,0000311,042310,833
其他非流动负债946,510298.98%237,235139,84777,367341,690
10,982,80033.25%8,242,0447,185,0066,449,6826,780,000

总权益
    实收股本1,846,1680.00%1,846,1681,475,9271,475,9271,475,927
    储备项目8,471,0550.48%8,430,4305,911,9203,888,8983,340,499
股东权益10,317,2230.40%10,276,5997,387,8475,364,8244,816,426
非控股权益2,374,3590.82%2,355,0272,666,2103,414,0562,536,464