002542 中化岩土
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335,2973.30%324,586298,536294,360269,587
投资性房地产74,800-3.70%77,67581,50798,5706,940
固定资产827,901-6.15%882,1571,060,791890,9541,000,684
在建工程1190.00%119448212,112202,250
无形资产140,099-2.31%143,408150,356162,297174,279
商誉24,2290.00%24,22988,419156,925301,860
其他非流动资产694,3293.52%670,710566,895440,040431,435
2,096,773-1.23%2,122,8832,246,9522,255,2582,387,034

流动资产
货币资金262,653-42.56%457,232884,339578,8911,016,599
应收账款1,669,686-17.10%2,014,2053,316,0543,380,0894,289,317
存货24,786-12.34%28,27444,633109,95187,020
其他流动资产1,332,383-6.81%1,429,8251,848,7182,154,6492,366,383
3,289,507-16.29%3,929,5376,093,7446,223,5807,759,319

流动负债
短期借款569,598-3.46%589,989763,1931,372,6561,941,014
应付票据7,190-69.15%23,308083,864105,809
应付帐款1,635,748-19.29%2,026,7382,055,8761,821,2152,123,037
其他流动负债1,215,949-16.42%1,454,8511,435,7921,596,381842,422
3,428,485-16.27%4,094,8864,254,8624,874,1165,012,283
流动资产净值(138,979)-15.95%(165,350)1,838,8821,349,4642,747,036
资产总额减流动负债1,957,7950.01%1,957,5334,085,8353,604,7225,134,071

非流动负债
长期借款894,448841.52%95,0000050,000
应付债券512,176-48.98%1,003,9511,782,492584,7351,364,527
其他非流动负债18,812-41.75%32,29551,62330,99638,188
1,425,43726.01%1,131,2461,834,115615,7311,452,715

总权益
    实收股本1,806,1170.00%1,806,1171,805,6541,805,6351,805,340
    储备项目(1,283,471)29.81%(988,756)429,5481,154,4261,851,072
股东权益522,645-36.06%817,3612,235,2032,960,0603,656,411
非控股权益9,7138.82%8,92616,51728,93024,944