002218 拓日新能
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43,889-7.62%47,50761,11561,71253,413
投资性房地产27,5401.49%27,13728,47324,25227,067
固定资产2,746,401-5.77%2,914,6392,800,3322,584,5632,887,447
在建工程538,54125.13%430,387456,314515,487278,960
无形资产291,178-9.50%321,737356,749396,341413,818
商誉13,3710.00%13,37113,37113,37113,371
其他非流动资产359,6218.33%331,971360,568397,797405,987
4,020,542-1.62%4,086,7504,076,9223,993,5234,080,063

流动资产
货币资金647,7332.54%631,687504,6951,362,799878,990
应收账款1,251,117-8.14%1,362,0181,198,037996,8581,183,127
存货263,744-33.83%398,573467,096501,958401,114
其他流动资产472,95344.30%327,765409,625291,281492,760
2,635,547-3.11%2,720,0422,579,4533,152,8962,955,991

流动负债
短期借款0--00724,3361,017,476
应付票据21,735-52.89%46,137115,183100,00078,490
应付帐款171,699-11.28%193,527160,423109,377158,121
其他流动负债383,481-20.28%481,044673,632505,897391,315
576,915-19.95%720,708949,2381,439,6101,645,402
流动资产净值2,058,6312.97%1,999,3351,630,2151,713,2871,310,589
资产总额减流动负债6,079,173-0.11%6,086,0855,707,1385,706,8095,390,652

非流动负债
长期借款1,888,1237.04%1,763,8721,306,422597,917133,882
应付债券0--0000
其他非流动负债133,541-2.12%136,436200,340873,5771,052,787
2,021,6656.39%1,900,3081,506,7621,471,4931,186,669

总权益
    实收股本1,413,0210.00%1,413,0211,413,0211,413,0211,413,021
    储备项目2,644,488-4.63%2,772,7562,787,3552,822,2952,790,963
股东权益4,057,508-3.06%4,185,7774,200,3754,235,3164,203,983
非控股权益0--0000