600409 三友化工
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29,99812.27%26,71925,96730,8640
投资性房地产17,672-3.00%18,21922,18124,16415,902
固定资产13,965,966-4.06%14,556,38213,642,61014,258,22614,931,559
在建工程2,894,64877.42%1,631,5051,508,933404,289234,713
无形资产1,126,3702.39%1,100,0781,144,0971,028,623842,775
商誉2,3920.00%2,3922,3922,3922,392
其他非流动资产1,425,171-10.14%1,585,9191,439,0391,544,6121,255,405
19,462,2162.86%18,921,21517,785,21917,293,17017,282,746

流动资产
货币资金3,470,068-0.11%3,473,9203,287,4154,839,9563,038,705
应收账款304,72022.18%249,402369,349445,969399,982
存货1,460,526-10.13%1,625,1811,444,9291,659,0042,132,018
其他流动资产1,950,3019.13%1,787,2112,705,6943,368,4863,135,773
7,185,6140.70%7,135,7147,807,38710,313,4148,706,478

流动负债
短期借款151,09020.78%125,093404,864601,3491,712,684
应付票据139,301-67.90%433,968685,817607,093338,345
应付帐款2,802,790-1.59%2,847,9542,446,9642,458,1272,510,067
其他流动负债3,342,01021.15%2,758,5852,841,3423,895,6352,857,256
6,435,1914.37%6,165,5996,378,9877,562,2057,418,352
流动资产净值750,424-22.65%970,1151,428,4002,751,2101,288,126
资产总额减流动负债20,212,6401.62%19,891,33019,213,62020,044,37918,570,872

非流动负债
长期借款2,361,5481.26%2,332,1181,156,7802,690,4781,696,848
应付债券1,410,76839.66%1,010,1621,911,0911,521,7251,813,318
其他非流动负债1,033,559-14.28%1,205,7881,179,5201,256,5651,290,605
4,805,8755.67%4,548,0684,247,3915,468,7684,800,771

总权益
    实收股本2,064,3490.00%2,064,3492,064,3492,064,3492,064,349
    储备项目11,839,0220.24%11,810,12211,489,03711,215,66810,738,338
股东权益13,903,3710.21%13,874,47113,553,38613,280,01712,802,688
非控股权益1,503,3942.36%1,468,7911,412,8431,295,594967,413