600929 雪天盐业
2024/09 - 九个月
人民币(K¥)
与去年末期
比较
2023/12
人民幣(K¥)
2022/12
人民幣(K¥)
2021/12
人民幣(K¥)
2020/12
人民幣(K¥)

非流动资产
长期股权投资131,9227.32%122,9224,26600
投资性房地产0--0000
固定资产4,901,846-4.93%5,155,8763,405,4443,183,6002,928,401
在建工程677,09267.10%405,2131,635,6831,093,500757,866
无形资产1,056,80829.66%815,042844,115855,101908,057
商誉104,6310.00%104,631104,631142,327142,327
其他非流动资产388,280-29.05%547,266200,723186,946214,769
7,260,5801.53%7,150,9516,194,8625,461,4754,951,421

流动资产
货币资金2,145,273-9.09%2,359,8011,252,919713,0361,299,963
应收账款206,932189.04%71,592106,057104,043104,676
存货425,495-0.96%429,628535,578557,366322,244
其他流动资产1,358,21913.30%1,198,7331,257,2801,540,3191,020,994
4,135,9191.88%4,059,7543,151,8342,914,7632,747,876

流动负债
短期借款38,074-76.84%164,40868,636201,692376,760
应付票据343,439-15.99%408,830365,190378,501260,424
应付帐款605,5829.19%554,617643,435506,618391,773
其他流动负债1,575,091-2.26%1,611,5241,099,0541,140,318661,881
2,562,186-6.47%2,739,3792,176,3152,227,1281,690,838
流动资产净值1,573,73319.19%1,320,375975,519687,6351,057,039
资产总额减流动负债8,834,3134.28%8,471,3267,170,3816,149,1096,008,459

非流动负债
长期借款411,197256.96%115,195366,05096,500334,999
应付债券0--00635,658611,969
其他非流动负债185,9972.35%181,732193,241217,696219,304
597,194101.12%296,927559,291949,8541,166,272

总权益
    实收股本1,658,362-0.05%1,659,1741,474,4801,350,169917,751
    储备项目6,017,3510.35%5,996,2084,740,0573,693,4453,108,152
股东权益7,675,7120.27%7,655,3826,214,5375,043,6144,025,903
非控股权益561,4068.17%519,018396,553155,641816,285