300332 天壕能源
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1,100,9135.63%1,042,225748,532780,692642,266
投资性房地产0--0000
固定资产2,098,680-2.35%2,149,0782,171,8601,920,8461,757,377
在建工程385,7258.31%356,121482,029528,035417,976
无形资产1,241,235-3.37%1,284,4721,350,1651,421,3791,463,258
商誉974,8550.00%974,8551,024,4941,144,1831,048,240
其他非流动资产471,548-2.20%482,131435,789403,744453,645
6,272,955-0.25%6,288,8826,212,8706,198,8805,782,762

流动资产
货币资金901,209-18.66%1,108,0161,447,7851,741,689924,288
应收账款199,454-18.75%245,482442,571519,029671,944
存货88,58519.62%74,055153,580115,002114,233
其他流动资产554,7240.93%549,635870,292719,085784,148
1,743,972-11.80%1,977,1882,914,2273,094,8052,494,613

流动负债
短期借款735,55817.25%627,340494,352690,811519,914
应付票据986,000-14.58%1,154,3091,288,5571,307,312539,708
应付帐款382,098-19.37%473,886640,633761,6891,410,354
其他流动负债496,981-20.27%623,3031,086,7411,076,081860,177
2,600,636-9.66%2,878,8373,510,2843,835,8933,330,153
流动资产净值(856,664)-4.99%(901,649)(596,057)(741,088)(835,540)
资产总额减流动负债5,416,2910.54%5,387,2335,616,8135,457,7914,947,222

非流动负债
长期借款114,937-11.44%129,790202,15193,21930,000
应付债券331,7912.21%324,611366,350364,503350,199
其他非流动负债421,947-14.61%494,118627,979826,952798,938
868,675-8.42%948,5191,196,4791,284,6751,179,137

总权益
    实收股本865,1170.00%865,115884,768881,898881,409
    储备项目3,449,1702.92%3,351,3813,320,7633,129,8242,751,957
股东权益4,314,2872.32%4,216,4964,205,5324,011,7223,633,366
非控股权益233,3305.00%222,218214,802161,395134,718