002812 恩捷股份
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101--03,2105,0183,546
投资性房地产8,593-5.07%9,0527,8658,3998,934
固定资产27,354,65219.30%22,928,50819,380,32714,306,87310,877,888
在建工程2,597,119-55.71%5,863,2456,207,4083,584,5551,752,916
无形资产1,112,517-1.61%1,130,7771,119,3411,054,043560,863
商誉519,1060.00%519,106520,231520,231520,231
其他非流动资产2,367,747-19.04%2,924,5243,670,6074,176,3342,935,138
33,959,8361.75%33,375,21130,908,98923,655,45216,659,515

流动资产
货币资金2,449,338-4.85%2,574,1413,835,5313,954,3171,833,450
应收账款6,878,72412.73%6,102,0486,719,7006,559,7174,405,436
存货2,586,137-12.72%2,963,0273,000,5592,463,4901,681,448
其他流动资产2,125,531-2.73%2,185,2112,736,1381,989,7551,542,336
14,039,7301.56%13,824,42716,291,92714,967,2799,462,670

流动负债
短期借款7,685,551-5.55%8,136,8987,290,6959,527,8534,116,148
应付票据620,02720.47%514,689802,934609,316487,408
应付帐款2,124,8875.72%2,009,8591,608,3101,720,587650,546
其他流动负债3,818,00328.02%2,982,2851,827,8201,701,7161,679,823
14,248,4694.43%13,643,73111,529,75813,559,4726,933,925
流动资产净值(208,739)-215.52%180,6964,762,1691,407,8082,528,745
资产总额减流动负债33,751,0970.58%33,555,90735,671,15925,063,26019,188,260

非流动负债
长期借款5,354,0385.60%5,070,0294,685,3164,179,2652,803,109
应付债券0-100.00%440,252435,900425,796413,239
其他非流动负债1,892,3112.81%1,840,6281,867,7071,603,7761,434,620
7,246,349-1.42%7,350,9086,988,9246,208,8364,650,968

总权益
    实收股本968,159-0.32%971,279977,754892,412892,407
    储备项目23,809,7541.32%23,499,95025,948,74116,833,79112,939,460
股东权益24,777,9141.25%24,471,23026,926,49517,726,20313,831,867
非控股权益1,726,834-0.40%1,733,7691,755,7401,128,220705,425