002015 协鑫能科
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2,370,865-18.44%2,906,8912,527,5831,525,7061,624,212
投资性房地产50,489-2.15%51,60053,08254,56556,048
固定资产17,935,24236.51%13,138,62113,472,34712,230,23114,388,025
在建工程2,340,335-7.37%2,526,4111,406,353775,1863,770,974
无形资产2,544,4630.20%2,539,2961,793,7171,784,7551,654,555
商誉19,5220.00%19,52215,52315,52314,382
其他非流动资产3,510,4888.93%3,222,7953,588,3673,988,6081,065,631
28,771,40417.89%24,405,13622,856,97220,374,57422,573,826

流动资产
货币资金4,946,09954.32%3,204,9973,942,7263,046,1672,983,847
应收账款4,835,47614.87%4,209,6863,579,3882,552,9021,912,055
存货403,972-2.00%412,217400,967275,638214,710
其他流动资产2,265,31730.74%1,732,6601,583,9301,380,9362,195,311
12,450,86430.25%9,559,5609,507,0117,255,6437,305,923

流动负债
短期借款4,310,80736.23%3,164,3872,474,5692,190,8942,741,003
应付票据49,884-36.45%78,49061,99136,43446,358
应付帐款1,397,12040.55%994,037741,601829,645267,267
其他流动负债6,707,33323.24%5,442,3174,972,0224,590,0155,826,806
12,465,14428.78%9,679,2328,250,1837,646,9878,881,435
流动资产净值(14,280)-88.07%(119,672)1,256,828(391,344)(1,575,512)
资产总额减流动负债28,757,12418.41%24,285,46424,113,79919,983,23020,998,314

非流动负债
长期借款8,525,64337.88%6,183,2356,679,2945,753,4515,520,286
应付债券0--000163,847
其他非流动负债6,326,99445.31%4,354,0094,738,1986,105,2786,625,737
14,852,63740.95%10,537,24311,417,49111,858,72912,309,870

总权益
    实收股本1,623,3250.00%1,623,3251,623,3251,352,4611,352,461
    储备项目10,111,487-1.20%10,234,3619,223,3494,873,1374,660,680
股东权益11,734,811-1.04%11,857,68510,846,6746,225,5986,013,141
非控股权益2,169,67614.77%1,890,5361,849,6341,898,9032,675,303