001280 中国铀业
2026/03 -
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631,8973.04%613,269599,381915,655821,871
投资性房地产71,928-2.05%73,43768,38371,20364,003
固定资产2,510,083-2.47%2,573,6851,453,0911,309,5891,357,424
在建工程1,703,7551.27%1,682,3481,547,433413,584244,397
无形资产387,771-0.82%390,990377,253204,865165,852
商誉0--0000
其他非流动资产2,664,7180.89%2,641,1501,775,1961,437,7331,160,023
7,970,152-0.06%7,974,8785,820,7374,352,6293,813,570

流动资产
货币资金8,166,414-1.01%8,250,0933,817,6365,084,8255,559,561
应收账款2,810,56339.65%2,012,5231,642,9962,494,787718,200
存货11,004,010-5.74%11,674,3858,016,7935,183,4706,679,436
其他流动资产1,456,709-35.51%2,258,8311,384,3992,037,0182,383,157
23,437,696-3.13%24,195,83314,861,82414,800,09915,340,354

流动负债
短期借款1,285,472-33.19%1,923,99863,2881,412,722395,540
应付票据29,0447.38%27,048000
应付帐款1,440,581-5.13%1,518,5232,007,1961,388,3322,538,089
其他流动负债3,735,002-4.95%3,929,5012,461,3182,526,2874,720,541
6,490,099-12.28%7,399,0704,531,8025,327,3427,654,170
流动资产净值16,947,5970.90%16,796,76310,330,0219,472,7577,686,184
资产总额减流动负债24,917,7490.59%24,771,64116,150,75913,825,38611,499,755

非流动负债
长期借款3,853,2261.66%3,790,4262,241,7312,058,862372,900
应付债券0--0000
其他非流动负债2,655,0640.18%2,650,2282,022,2871,570,7191,514,194
6,508,2891.05%6,440,6534,264,0173,629,5811,887,094

总权益
    实收股本2,068,1820.00%2,068,1821,820,0001,820,0001,814,407
    储备项目14,959,3990.87%14,829,7958,849,7727,367,5976,946,730
股东权益17,027,5810.77%16,897,97710,669,7729,187,5978,761,137
非控股权益1,381,879-3.57%1,433,0111,216,9691,008,208851,524