600309 万华化学
2025/06 - 中期
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11,183,13615.87%9,651,4027,045,7736,228,7353,929,713
投资性房地产0--0000
固定资产148,563,02325.02%118,828,41398,763,83678,558,10965,232,906
在建工程39,679,371-37.17%63,158,54750,454,55937,063,69229,351,882
无形资产12,712,0446.19%11,970,92810,785,8949,980,4057,982,321
商誉2,315,9725.46%2,196,1242,157,5381,292,2521,264,474
其他非流动资产17,093,152-2.53%17,537,50421,968,48416,187,57710,256,977
231,546,6983.67%223,342,918191,176,085149,310,771118,018,273

流动资产
货币资金34,193,69539.38%24,533,22123,709,95818,988,84334,216,298
应收账款14,718,51719.48%12,318,9959,144,2539,060,2528,646,178
存货25,010,0203.74%24,107,31320,650,13718,185,31918,282,044
其他流动资产10,486,54016.12%9,030,9028,359,9585,298,01411,146,790
84,408,77320.60%69,990,43161,864,30651,532,42872,291,309

流动负债
短期借款56,379,00158.56%35,557,14843,526,40244,019,48453,873,032
应付票据33,206,954-21.91%42,523,65130,613,62411,138,7248,987,342
应付帐款22,934,463-13.82%26,612,47314,980,11413,066,52111,402,666
其他流动负债23,171,9738.33%21,389,50919,537,23026,792,44623,739,131
135,692,3917.62%126,082,780108,657,37195,017,17698,002,171
流动资产净值(51,283,618)-8.57%(56,092,349)(46,793,065)(43,484,748)(25,710,862)
资产总额减流动负债180,263,0807.78%167,250,570144,383,020105,826,02392,307,411

非流动负债
长期借款53,095,01910.21%48,176,16139,810,79315,968,33615,643,752
应付债券7,500,000120.59%3,400,0000200,0000
其他非流动负债11,614,009-4.60%12,174,25910,118,0128,320,6994,967,992
72,209,02813.27%63,750,42049,928,80424,489,03520,611,744

总权益
    实收股本3,139,7470.00%3,139,7473,139,7473,139,7473,139,747
    储备项目96,614,8465.61%91,486,14985,516,45873,704,78765,358,783
股东权益99,754,5925.42%94,625,89688,656,20576,844,53468,498,529
非控股权益8,299,460-6.48%8,874,2545,798,0114,492,4543,197,138