600116 三峡水利
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1,593,625-3.16%1,645,5442,083,7032,046,5081,649,171
投资性房地产113,063-0.63%113,780152,305152,935120,291
固定资产11,606,907-2.42%11,895,07910,941,08310,372,8819,514,617
在建工程784,980-0.89%792,0521,504,896933,797644,589
无形资产1,737,598-5.66%1,841,8821,211,9361,219,8321,201,088
商誉2,944,6330.00%2,944,6333,023,8093,062,4783,062,478
其他非流动资产987,706-0.36%991,323956,3591,064,522877,370
19,768,511-2.25%20,224,29319,874,09018,852,95317,069,603

流动资产
货币资金2,089,018-6.63%2,237,2831,685,3941,883,4411,666,870
应收账款1,122,35911.19%1,009,3861,193,9591,087,816970,498
存货149,130-60.31%375,770408,399293,600237,118
其他流动资产1,310,182-0.89%1,321,9192,039,6871,419,3701,916,327
4,670,689-5.53%4,944,3585,327,4384,684,2264,790,814

流动负债
短期借款2,293,089-29.54%3,254,4984,844,9053,337,2001,602,554
应付票据101,850183.42%35,936204,925383,700507,248
应付帐款1,061,743-20.69%1,338,7991,219,6641,130,776889,610
其他流动负债2,918,18324.50%2,343,8322,835,4662,709,0172,272,258
6,374,864-8.58%6,973,0659,104,9607,560,6945,271,671
流动资产净值(1,704,175)-16.00%(2,028,707)(3,777,522)(2,876,467)(480,857)
资产总额减流动负债18,064,336-0.72%18,195,58616,096,56815,976,48616,588,746

非流动负债
长期借款4,003,174-7.17%4,312,4092,892,7182,621,6163,569,990
应付债券1,000,0000.00%1,000,0001,000,0001,000,0001,000,000
其他非流动负债1,323,503-6.42%1,414,300956,045932,106722,171
6,326,676-5.95%6,726,7094,848,7634,553,7215,292,161

总权益
    实收股本1,912,1430.00%1,912,1431,912,1431,912,1431,912,143
    储备项目9,632,6062.64%9,384,4019,117,8969,251,6039,130,322
股东权益11,544,7492.20%11,296,54411,030,03911,163,74611,042,465
非控股权益192,91011.94%172,333217,767259,018254,120