002067 景兴纸业
2025/03 -
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149,048-0.26%149,431216,966242,164246,531
投资性房地产77,228-1.73%78,59183,136116,510112,772
固定资产3,711,392-2.08%3,790,2064,050,5532,528,2702,134,837
在建工程65,472106.39%31,72228,1611,417,727894,152
无形资产599,168-0.34%601,208602,337544,883558,704
商誉0--0000
其他非流动资产571,08267.79%340,354215,967249,506456,113
5,173,3893.64%4,991,5125,197,1205,099,0614,403,108

流动资产
货币资金901,551-38.17%1,458,0561,226,7781,087,2351,340,654
应收账款469,836-0.38%471,617475,425455,682567,685
存货1,439,17819.52%1,204,152777,864693,062638,178
其他流动资产697,0309.18%638,400505,699621,826990,658
3,507,595-7.02%3,772,2262,985,7652,857,8053,537,175

流动负债
短期借款860,7527.34%801,912327,213217,763547,006
应付票据251,729-25.49%337,835190,500351,5000
应付帐款228,591-25.17%305,470329,287305,573241,358
其他流动负债436,542-5.58%462,348492,074478,342419,964
1,777,613-6.81%1,907,5661,339,0731,353,1781,208,328
流动资产净值1,729,982-7.22%1,864,6601,646,6911,504,6272,328,846
资产总额减流动负债6,903,3710.69%6,856,1736,843,8116,603,6886,731,955

非流动负债
长期借款265,65727.84%207,808247,01997,091187,645
应付债券768,699-0.56%773,026984,353946,578905,642
其他非流动负债31,210-3.55%32,35833,41725,40723,293
1,065,5655.17%1,013,1911,264,7891,069,0761,116,580

总权益
    实收股本1,257,1980.32%1,253,1801,193,9751,193,9451,193,929
    储备项目4,563,427-0.24%4,574,4044,379,7554,337,7154,240,256
股东权益5,820,625-0.12%5,827,5845,573,7305,531,6605,434,185
非控股权益17,18011.57%15,3985,2922,952181,190