600409 三友化工
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31,794-3.26%32,86626,71925,96730,864
投资性房地产14,603-2.09%14,91418,21922,18124,164
固定资产15,416,1466.90%14,421,27114,556,38213,642,61014,258,226
在建工程1,794,068-36.01%2,803,7471,631,5051,508,933404,289
无形资产1,228,539-2.87%1,264,8361,100,0781,144,0971,028,623
商誉2,3920.00%2,3922,3922,3922,392
其他非流动资产1,215,360-4.55%1,273,3021,585,9191,439,0391,544,612
19,702,903-0.56%19,813,33018,921,21517,785,21917,293,170

流动资产
货币资金3,160,999-13.13%3,638,6213,473,9203,287,4154,839,956
应收账款360,38320.80%298,325249,402369,349445,969
存货1,621,15617.53%1,379,3031,625,1811,444,9291,659,004
其他流动资产2,284,50648.78%1,535,4811,787,2112,705,6943,368,486
7,427,0448.40%6,851,7317,135,7147,807,38710,313,414

流动负债
短期借款188,69263.97%115,079125,093404,864601,349
应付票据306,84256.00%196,692433,968685,817607,093
应付帐款2,908,8192.16%2,847,2002,847,9542,446,9642,458,127
其他流动负债2,623,740-25.96%3,543,6122,758,5852,841,3423,895,635
6,028,093-10.06%6,702,5826,165,5996,378,9877,562,205
流动资产净值1,398,951837.96%149,149970,1151,428,4002,751,210
资产总额减流动负债21,101,8545.71%19,962,47819,891,33019,213,62020,044,379

非流动负债
长期借款2,932,33910.22%2,660,4452,332,1181,156,7802,690,478
应付债券1,712,58790.17%900,5771,010,1621,911,0911,521,725
其他非流动负债994,778-5.00%1,047,1511,205,7881,179,5201,256,565
5,639,70322.38%4,608,1724,548,0684,247,3915,468,768

总权益
    实收股本2,064,3490.00%2,064,3492,064,3492,064,3492,064,349
    储备项目11,935,6481.12%11,802,92611,810,12211,489,03711,215,668
股东权益13,999,9980.96%13,867,27513,874,47113,553,38613,280,017
非控股权益1,462,153-1.67%1,487,0311,468,7911,412,8431,295,594