600821 金开新能
2026/06 - 中期
人民币(K¥)
与去年末期
比较
2025/12
人民幣(K¥)
2024/12
人民幣(K¥)
2023/12
人民幣(K¥)
2022/12
人民幣(K¥)

非流动资产
长期股权投资1,206,486-16.50%1,444,8581,328,017867,1961,023,978
投资性房地产0--0000
固定资产21,758,5604.11%20,900,15921,646,38418,800,28717,525,055
在建工程901,997-24.90%1,201,016780,531617,9681,315,363
无形资产244,29810.66%220,759216,253145,23889,659
商誉2,223,5492.14%2,177,0342,165,7721,507,8181,502,880
其他非流动资产4,046,0225.58%3,832,2293,677,2743,105,0122,239,272
30,380,9112.03%29,776,05529,814,23025,043,52023,696,206

流动资产
货币资金967,399-2.86%995,9281,027,689291,8432,624,818
应收账款7,563,9552.64%7,369,6107,987,5595,890,2255,323,008
存货6,43212.74%5,70521,66743,7395,162
其他流动资产1,665,97740.82%1,183,0761,219,306663,3331,045,728
10,203,7636.80%9,554,31910,256,2216,889,1408,998,716

流动负债
短期借款60,2390.15%60,14654890,00285,132
应付票据454,99069.73%268,0742,043,836749,3551,299,085
应付帐款250,048-4.21%261,042328,000261,318206,842
其他流动负债4,232,330-4.43%4,428,7424,269,5243,722,8714,325,819
4,997,607-0.41%5,018,0036,641,9084,823,5455,916,878
流动资产净值5,206,15614.77%4,536,3163,614,3122,065,5953,081,839
资产总额减流动负债35,587,0673.71%34,312,37133,428,54327,109,11526,778,045

非流动负债
长期借款20,631,3452.20%20,187,36021,388,60617,299,43417,573,652
应付债券3,695,90237.08%2,696,1201,547,10100
其他非流动负债672,69815.76%581,127503,274415,640377,158
24,999,9456.54%23,464,60823,438,98117,715,07417,950,810

总权益
    实收股本1,967,325-1.50%1,997,2631,997,2631,997,2631,997,263
    储备项目6,760,222-3.93%7,036,8047,297,3386,945,8666,371,961
股东权益8,727,547-3.39%9,034,0679,294,6018,943,1298,369,225
非控股权益1,859,5752.53%1,813,696694,961450,912458,011