000672 上峰水泥
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1,209,94811.72%1,083,013958,136898,510758,690
投资性房地产145,141-1.51%147,366151,357159,246163,796
固定资产4,468,138-6.56%4,781,7125,164,5764,292,4573,632,299
在建工程129,7107.76%120,36491,445737,490411,197
无形资产2,463,608-5.59%2,609,5622,547,6781,888,7191,863,208
商誉156,5790.00%156,579156,579159,743161,558
其他非流动资产2,668,2308.73%2,453,9371,620,3961,514,790989,630
11,241,354-0.98%11,352,53310,690,1679,650,9567,980,378

流动资产
货币资金1,474,989-44.79%2,671,7574,037,9762,896,4633,466,959
应收账款238,11313.82%209,208230,200246,332301,352
存货829,528-0.67%835,1601,060,7741,358,9941,020,159
其他流动资产3,099,35523.52%2,509,1991,905,6272,089,8872,357,645
5,641,985-9.37%6,225,3247,234,5776,591,6777,146,115

流动负债
短期借款2,022,89729.15%1,566,331969,6331,609,2521,878,820
应付票据332,510-69.04%1,073,8581,652,7391,691,467948,258
应付帐款770,550-10.72%863,0251,031,307959,618831,435
其他流动负债1,686,542-6.91%1,811,7181,602,9481,453,5951,571,504
4,812,500-9.45%5,314,9325,256,6275,713,9325,230,016
流动资产净值829,485-8.89%910,3921,977,950877,7441,916,099
资产总额减流动负债12,070,840-1.57%12,262,92512,668,11710,528,7009,896,477

非流动负债
长期借款1,702,456-12.08%1,936,4762,357,610858,120473,873
应付债券0--0000
其他非流动负债685,2402.06%671,377722,752472,109390,659
2,387,697-8.44%2,607,8533,080,3631,330,230864,533

总权益
    实收股本969,3950.00%969,395969,395975,186813,620
    储备项目7,902,524-0.96%7,979,4667,870,1127,438,6267,476,035
股东权益8,871,919-0.86%8,948,8618,839,5078,413,8128,289,655
非控股权益811,22414.87%706,211748,247784,659742,289