600997 开滦股份
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1,684,4711.46%1,660,3081,538,5001,209,4791,125,555
投资性房地产22,813-1.89%23,25314,32614,72015,114
固定资产11,837,391-3.64%12,284,05812,023,41911,509,53410,699,046
在建工程1,157,60227.12%910,647751,921696,6871,244,340
无形资产857,474-2.82%882,316734,067778,784785,881
商誉10,3600.00%10,36010,36010,36010,360
其他非流动资产384,901-8.74%421,775433,616465,759141,450
15,955,012-1.47%16,192,71615,506,20914,685,32214,021,745

流动资产
货币资金6,185,703-8.22%6,739,7197,467,1189,279,8367,246,034
应收账款881,056-28.33%1,229,2741,245,9491,589,7711,778,218
存货1,341,76736.03%986,3781,240,0551,312,931977,646
其他流动资产3,062,130-16.69%3,675,6033,594,2313,906,1243,333,324
11,470,656-9.19%12,630,97413,547,35216,088,66213,335,222

流动负债
短期借款3,475,73316.07%2,994,6001,190,0002,120,0002,828,190
应付票据882,266-1.16%892,661785,938861,475558,283
应付帐款3,528,330-20.77%4,453,2945,357,8254,479,6903,443,741
其他流动负债2,745,948118.03%1,259,4593,390,6783,687,7771,509,340
10,632,27810.75%9,600,01410,724,44111,148,9428,339,554
流动资产净值838,379-72.34%3,030,9602,822,9114,939,7204,995,667
资产总额减流动负债16,793,391-12.64%19,223,67618,329,12019,625,04219,017,412

非流动负债
长期借款314,782-73.33%1,180,500774,000802,7951,065,780
应付债券19,972-98.46%1,298,745698,2541,497,1222,987,524
其他非流动负债1,176,2651.82%1,155,2291,120,3001,083,332733,870
1,511,019-58.43%3,634,4742,592,5543,383,2484,787,174

总权益
    实收股本1,587,8000.00%1,587,8001,587,8001,587,8001,587,800
    储备项目12,646,234-0.04%12,650,78412,478,87312,526,42110,502,665
股东权益14,234,033-0.03%14,238,58414,066,67314,114,22112,090,465
非控股权益1,048,338-22.38%1,350,6171,669,8932,127,5732,139,773