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豫能控股

(001896)

  

流通市值:232.53亿  总市值:232.53亿
流通股本:15.26亿   总股本:15.26亿

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3,281,849,057.641,632,144,430.252,822,235,480.321,540,013,585.98
  应收票据及应收账款1,556,510,534.021,688,166,340.151,362,781,821.051,668,258,682.76
  其中:应收票据2,457,561.583,161,222.1210,025,054.4735,732,808.2
        应收账款1,554,052,972.441,685,005,118.031,352,756,766.581,632,525,874.56
  应收款项融资34,262,464.634,417,778.9928,522,862.8718,996,485.8
  预付款项228,005,116.39228,216,569.41512,738,116.38510,173,062.04
  其他应收款合计140,367,957.48109,632,448.1132,048,081.77140,888,892.96
        应收股利63,897,707.4763,897,707.4763,897,707.4763,897,707.47
  存货374,888,229.79696,151,284.64398,557,344.77699,758,670.92
  其他流动资产347,865,339.07296,832,450.68264,580,506.08264,364,746.77
  流动资产合计5,963,748,698.994,685,561,302.225,521,464,213.244,842,454,127.23
非流动资产:
  长期应收款37,400,00037,400,00037,400,00037,400,000
  长期股权投资955,448,294.06937,468,927.54916,704,598.46904,642,411.73
  其他权益工具投资112,926,797.32112,260,000110,817,260.9683,036,796.18
  投资性房地产7,468,922.447,590,015.587,711,108.727,832,201.86
  固定资产16,642,255,557.5916,965,828,775.2117,099,984,272.417,401,888,519.87
  在建工程6,320,173,385.56,057,541,758.325,031,613,504.784,613,048,004.14
  使用权资产127,936,376.34131,236,987.2134,755,116.78137,969,033.83
  无形资产1,961,943,158.721,976,080,684.771,993,112,868.232,002,005,504.93
  开发支出--2,999,905.662,688,160.38
  长期待摊费用2,164,163.321,345,333.081,625,488.711,513,642.77
  递延所得税资产473,132,262.23495,350,524.77392,009,319.83494,406,341.1
  其他非流动资产806,638,473.35739,448,482.97551,973,299.47695,700,861.34
  非流动资产合计27,447,487,390.8727,461,551,489.4426,280,706,74426,382,131,478.13
  资产总计33,411,236,089.8632,147,112,791.6631,802,170,957.2431,224,585,605.36
流动负债:
  短期借款3,033,145,785.883,047,649,547.183,493,859,159.664,166,133,733.09
  应付票据及应付账款1,609,227,010.761,880,176,659.262,054,400,744.211,936,991,770.41
  其中:应付票据558,422,324.17543,160,800.11864,503,559.52635,314,731.01
        应付账款1,050,804,686.591,337,015,859.151,189,897,184.691,301,677,039.4
  预收款项18,916.67361,403.78463,056.59558,684.56
  合同负债114,270,505.2357,084,128.4416,297,649.1863,784,623.65
  应付职工薪酬118,641,728.99135,966,755.54148,823,681.53107,384,060.89
  应交税费42,117,160.2967,720,774.7471,837,241.0367,719,202.51
  其他应付款合计1,333,117,952.281,421,221,419.33854,342,034.34822,132,744.75
  一年内到期的非流动负债2,155,215,719.322,393,025,134.323,177,185,855.843,200,909,481.16
  其他流动负债530,922,693.021,022,673,482.551,047,389,533.611,056,078,114.03
  流动负债合计8,936,677,472.4410,025,879,305.1410,864,598,955.9911,421,692,415.05
非流动负债:
  长期借款18,714,560,151.3116,921,821,781.0116,268,378,381.115,223,035,076.11
  应付债券499,414,905---
  租赁负债126,993,764.32127,141,200.49134,115,445.85134,814,813.01
  长期应付款588,051,043.57592,754,121.25450,862,540.03612,375,954.39
  长期应付职工薪酬--2,056,4002,056,400
  递延收益76,012,756.4675,127,94973,469,469.2674,367,656.39
  递延所得税负债31,543,459.8536,018,287.828,343,660.0726,522,165.23
  其他非流动负债124,785,111.82125,976,219.6494,651,310.6290,063,841.93
  非流动负债合计20,161,361,192.3317,878,839,559.1917,051,877,206.9316,163,235,907.06
  负债合计29,098,038,664.7727,904,718,864.3327,916,476,162.9227,584,928,322.11
所有者权益(或股东权益):
  实收资本(或股本)1,525,781,3301,525,781,3301,525,781,3301,525,781,330
  资本公积6,528,710,527.636,531,852,901.246,528,759,256.026,533,794,714.67
  其他综合收益38,134,576.4437,845,819.5437,296,014.825,849,765.23
  专项储备36,283,157.528,433,629.4653,596,876.7938,922,004.64
  盈余公积183,737,055.75183,737,055.75183,737,055.75183,737,055.75
  一般风险准备960,425.86960,425.86960,425.86960,425.86
  未分配利润-4,750,392,445.74-4,779,671,767.7-4,882,298,300.8-5,066,825,794.47
  归属于母公司股东权益合计3,563,214,627.463,508,939,394.153,447,832,658.423,242,219,501.68
  少数股东权益749,982,797.63733,454,533.18437,862,135.9397,437,781.57
  股东权益合计4,313,197,425.094,242,393,927.333,885,694,794.323,639,657,283.25
  负债和股东权益合计33,411,236,089.8632,147,112,791.6631,802,170,957.2431,224,585,605.36
公告日期2026-04-302026-03-312025-10-292025-08-28
审计意见(境内)标准无保留意见
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