300587 天铁科技
2025/09 - 九个月
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485,851-0.90%490,286504,703508,14636,928
投资性房地产11,082-1.75%11,27912,50313,72814,953
固定资产1,053,35833.01%791,910699,378749,499666,628
在建工程1,014,797-0.62%1,021,167453,292177,11160,642
无形资产241,069-2.40%246,996244,555241,741168,060
商誉169,4810.00%169,481169,481206,378214,480
其他非流动资产374,45544.77%258,662297,357171,596135,212
3,350,09212.05%2,989,7792,381,2682,068,1991,296,904

流动资产
货币资金215,822-1.68%219,511255,497507,835621,641
应收账款1,467,162-6.19%1,563,9201,388,4841,539,4181,161,289
存货615,60919.08%516,987688,131361,443368,336
其他流动资产500,1303.83%481,689557,557646,894633,826
2,798,7230.60%2,782,1072,889,6693,055,5882,785,091

流动负债
短期借款478,849-24.08%630,754606,778601,055217,126
应付票据117,53050.93%77,872289,561124,187179,565
应付帐款693,58515.75%599,205368,011351,640317,778
其他流动负债1,147,38066.22%690,290521,630312,509272,102
2,437,34321.98%1,998,1221,785,9801,389,391986,570
流动资产净值361,380-53.90%783,9851,103,6881,666,1971,798,521
资产总额减流动负债3,711,472-1.65%3,773,7643,484,9573,734,3963,095,424

非流动负债
长期借款1,110,209-3.17%1,146,5291,015,230567,720379,261
应付债券0--0058,52758,231
其他非流动负债124,110-14.00%144,30748,60468,90643,558
1,234,319-4.38%1,290,8361,063,833695,154481,050

总权益
    实收股本1,298,26911.31%1,166,3441,091,4201,076,853628,221
    储备项目1,097,890-11.84%1,245,2921,282,4761,906,7131,893,795
股东权益2,396,159-0.64%2,411,6362,373,8962,983,5652,522,016
非控股权益80,99513.61%71,29247,22755,67792,358