当前位置:首页 - 行情中心 - 甘肃能化(000552) - 财务分析 - 资产负债表

甘肃能化

(000552)

  

流通市值:102.09亿  总市值:146.64亿
流通股本:37.26亿   总股本:53.52亿

资产负债表

报告期2026-03-312025-12-312025-09-302025-06-30
公司类型通用通用通用通用
流动资产:
  货币资金4,923,554,670.365,282,124,496.865,170,617,338.635,145,753,163.15
  交易性金融资产-50,519,315.0750,000,00050,000,000
  应收票据及应收账款1,241,607,556.081,196,346,774.38827,205,066.74821,389,831.33
  其中:应收票据186,882,695.07272,514,930.22--
        应收账款1,054,724,861.01923,831,844.16827,205,066.74821,389,831.33
  应收款项融资56,366,092.8114,921,702.7288,317,636.8486,684,155.48
  预付款项67,292,607.5558,008,820.5994,983,583.6976,093,673.23
  其他应收款合计42,301,729.8636,676,280.1158,968,756.5949,595,578.86
  存货1,369,174,279.021,137,266,367.731,373,231,145.051,618,599,961.86
  合同资产36,866,830.737,242,747.439,345,17844,657,214.76
  一年内到期的非流动资产30,693,75030,693,7504,762,50037,742,471.34
  其他流动资产1,103,491,516.611,065,178,027.84956,761,274.73945,527,266.24
  流动资产合计8,871,349,032.989,008,978,282.78,664,192,480.278,876,043,316.25
非流动资产:
  债权投资30,000,00030,000,00030,138,75030,138,750
  其他非流动金融资产10,648,224.710,648,224.79,016,954.469,016,954.46
  投资性房地产25,296,052.0325,480,364.1825,621,749.1523,971,121.33
  固定资产16,555,497,211.6216,177,473,326.969,171,964,196.259,273,071,435.6
  在建工程5,005,386,372.225,203,934,944.529,144,449,048.598,170,451,484.16
  使用权资产2,690,344.391,224,128.382,650,119.554,375,048.38
  无形资产5,135,501,866.595,145,754,171.825,230,824,640.295,119,279,211.18
  长期待摊费用66,297,530.0774,347,678.47108,952,821.82106,769,710.95
  递延所得税资产433,974,998.03429,911,201.63365,417,646.01371,411,714.24
  其他非流动资产1,152,102,201.05981,536,793.862,000,285,794.511,874,405,871.96
  非流动资产合计28,417,394,800.728,080,310,834.5226,089,321,720.6324,982,891,302.26
  资产总计37,288,743,833.6837,089,289,117.2234,753,514,200.933,858,934,618.51
流动负债:
  短期借款355,170,396.8230,649,481.67116,794,246.93120,018,611.09
  应付票据及应付账款4,156,348,445.314,887,095,812.133,519,657,981.543,334,644,195.28
  其中:应付票据354,709,233.38425,297,226.77248,911,358.7783,832,286.85
        应付账款3,801,639,211.934,461,798,585.363,270,746,622.773,250,811,908.43
  预收款项872,519.42248,435.793,816,321.371,990,711.6
  合同负债190,205,591.99130,456,713.66263,305,920.42194,210,098.45
  应付职工薪酬843,586,952.87948,687,339.24953,809,002.911,047,826,316.55
  应交税费185,742,137.67127,985,972.98101,949,866.5359,414,288.96
  其他应付款合计264,227,176.28290,142,899.67312,929,559.94320,981,922.6
  其中:应付利息---1,044,812.89
  一年内到期的非流动负债3,573,559,140.773,544,829,772.071,046,448,605.17954,027,132.67
  其他流动负债198,413,101283,022,972.1823,700,313.7624,429,589.95
  流动负债合计9,768,125,462.1110,443,119,399.396,342,411,818.576,057,542,867.15
非流动负债:
  长期借款8,558,219,829.757,915,775,153.757,402,294,888.846,837,094,888.84
  应付债券506,131,881.66503,520,064.722,424,142,307.761,901,727,316.81
  租赁负债2,749,575.87-327,111.641,229,384.07
  长期应付款459,355,908.26459,407,697569,090,958.06598,878,703.22
  长期应付职工薪酬284,825,163.7301,316,146.46309,553,649.75319,256,012.78
  预计负债328,242,218.05325,254,069.79314,406,916.59309,151,116
  递延收益299,233,629.33306,351,144.33301,548,311.47314,921,007.41
  递延所得税负债12,528,678.5212,310,575.929,348,092.159,367,127.85
  其他非流动负债1,122,094.611,122,094.611,122,094.611,122,094.61
  非流动负债合计10,452,408,979.759,825,056,946.5811,331,834,330.8710,292,747,651.59
  负债合计20,220,534,441.8620,268,176,345.9717,674,246,149.4416,350,290,518.74
所有者权益(或股东权益):
  实收资本(或股本)5,351,814,7305,351,810,6365,351,809,3065,351,807,601
  其他权益工具319,425,913.98319,427,883.36319,428,523.4319,429,343.96
  资本公积3,569,148,132.093,569,138,436.33,571,128,118.863,571,124,081.09
  专项储备840,676,634.51653,646,213.56964,171,158.65934,642,885.47
  盈余公积981,947,404.02981,947,404.02946,501,903.22946,501,903.22
  未分配利润5,598,909,511.475,533,677,553.945,511,958,840.125,969,071,512.01
  归属于母公司股东权益合计16,661,922,326.0716,409,648,127.1816,664,997,850.2517,092,577,326.75
  少数股东权益406,287,065.75411,464,644.07414,270,201.21416,066,773.02
  股东权益合计17,068,209,391.8216,821,112,771.2517,079,268,051.4617,508,644,099.77
  负债和股东权益合计37,288,743,833.6837,089,289,117.2234,753,514,200.933,858,934,618.51
公告日期2026-04-282026-04-282025-10-312025-08-22
审计意见(境内)标准无保留意见
TOP↑