002941 新疆交建
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87,121-84.22%552,272615,097412,391221,264
投资性房地产410,750-1.92%418,810155155155
固定资产388,596-4.70%407,766374,701338,523238,162
在建工程11,876304.08%2,9392,0182,0182,292
无形资产532,39117.15%454,443326,403331,451342,014
商誉1,1930.00%1,1931,1931,1931,193
其他非流动资产9,110,92310.60%8,237,7857,599,2627,084,2076,521,576
10,542,8514.64%10,075,2078,918,8308,169,9387,326,655

流动资产
货币资金3,300,766-13.24%3,804,2623,947,8294,065,1063,301,421
应收账款2,046,650-4.84%2,150,8392,114,2722,012,7403,626,689
存货264,56731.54%201,136145,412213,944218,508
其他流动资产4,691,44528.05%3,663,6994,229,5554,152,5253,258,976
10,303,4284.92%9,819,93610,437,06810,444,31510,405,594

流动负债
短期借款124,800-36.20%195,600500,00000
应付票据299,212-2.65%307,357322,897312,427405,396
应付帐款4,585,0162.73%4,463,2074,530,4874,334,9314,690,174
其他流动负债3,874,399-3.32%4,007,5493,618,3954,948,7784,709,450
8,883,426-1.01%8,973,7138,971,7799,596,1369,805,020
流动资产净值1,420,00267.80%846,2231,465,288848,179600,574
资产总额减流动负债11,962,8539.54%10,921,43010,384,1189,018,1187,927,230

非流动负债
长期借款5,387,8228.41%4,969,6974,644,5413,730,8402,891,936
应付债券0-100.00%806,510793,221768,719744,149
其他非流动负债314,477155.77%122,951196,46757,651147,470
5,702,299-3.34%5,899,1585,634,2284,557,2113,783,555

总权益
    实收股本729,75113.04%645,580645,081645,057645,047
    储备项目3,969,99735.34%2,933,3712,689,9082,410,8582,125,169
股东权益4,699,74831.32%3,578,9513,334,9883,055,9152,770,216
非控股权益1,560,8068.14%1,443,3221,414,9021,404,9921,373,458