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协鑫能科

(002015)

  

流通市值:287.82亿  总市值:287.82亿
流通股本:16.23亿   总股本:16.23亿

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5,653,341,880.124,582,424,219.094,647,046,617.964,637,588,573.55
  结算备付金00--
  拆出资金00--
  交易性金融资产0003,062,800
  衍生金融资产00--
  应收票据及应收账款4,296,009,277.164,271,471,337.364,461,176,668.85,076,630,358.91
  其中:应收票据116,292,614.8880,519,505.8868,150,071.4197,491,685.47
        应收账款4,179,716,662.284,190,951,831.484,393,026,597.394,979,138,673.44
  应收款项融资41,273,775.9882,665,124.0437,093,943.3143,057,480.26
  预付款项201,003,346.81192,187,507.71289,326,315.46254,780,454.24
  应收保费00--
  应收分保账款00--
  应收分保合同准备金00--
  其他应收款合计828,784,802.29848,994,406.69478,645,915.63485,728,649.81
  其中:应收利息00--
        应收股利53,465,610.2760,806,790.2336,517,655.1636,352,196.97
  买入返售金融资产00--
  存货359,482,269.72347,769,556.48252,003,263.1266,287,394.93
  合同资产45,346,798.1647,810,046.762,183,727.342,191,090.34
  一年内到期的非流动资产43,774.449,648,96013,400,172.8218,199,718.08
  其他流动资产876,443,681.25884,716,596.331,090,543,584.661,133,447,477.36
  流动资产合计12,402,514,510.4611,368,343,650.2511,456,602,044.0712,105,926,107.17
非流动资产:
  发放委托贷款及垫款00--
  债权投资00--
  其他债权投资00--
  长期应收款74,923,331.4980,403,356.44108,380,110.4489,057,481.7
  长期股权投资1,889,598,255.591,870,188,560.162,326,386,268.922,502,313,632.34
  其他权益工具投资37,970,760.1237,970,760.1244,407,590.8138,104,560.51
  其他非流动金融资产00--
  投资性房地产48,264,213.3448,634,847.9949,005,482.6449,376,874.66
  固定资产17,093,579,116.4617,315,745,381.1718,094,469,789.9518,369,122,092.89
  在建工程2,107,488,413.671,913,369,120.182,489,599,266.312,167,950,951.87
  生产性生物资产00--
  油气资产00--
  使用权资产1,638,981,076.521,885,581,998.12,190,819,104.412,229,044,130.98
  无形资产2,624,268,814.542,540,199,956.842,558,905,439.372,614,025,595.38
  开发支出9,056,157.447,861,939.3216,332,764.029,410,813.55
  商誉21,738,996.0121,738,996.0119,522,428.4619,522,428.46
  长期待摊费用114,572,093.81122,745,764.31113,960,620.55121,061,452.17
  递延所得税资产116,698,065.63116,644,952.8594,051,963.45100,561,797.62
  其他非流动资产1,682,195,241.271,279,674,666.211,399,618,490.951,233,915,001.76
  非流动资产合计27,459,334,535.8927,240,760,299.729,505,459,320.2829,543,466,813.89
  资产总计39,861,849,046.3538,609,103,949.9540,962,061,364.3541,649,392,921.06
流动负债:
  短期借款3,163,572,850.343,647,706,253.563,550,028,333.14,516,064,840.12
  向中央银行借款00--
  吸收存款及同业存放00--
  拆入资金00--
  交易性金融负债00--
  衍生金融负债00--
  应付票据及应付账款502,690,166.17490,105,860.43740,146,640.45841,615,669.38
  其中:应付票据4,085,068.42,492,740.62,492,740.623,080,937.32
        应付账款498,605,097.77487,613,119.83737,653,899.85818,534,732.06
  预收款项16,624,834.2520,330,888.6318,153,573.8520,198,412.55
  合同负债138,747,771.19122,936,199.53187,728,566.07121,335,646.22
  卖出回购金融资产款00--
  应付手续费及佣金00--
  应付职工薪酬111,311,717.08312,975,397.98126,264,787.67113,314,557.76
  应交税费274,768,777.3302,776,088.62214,338,121.84238,388,609.98
  其他应付款合计2,907,420,422.493,055,270,088.883,863,801,225.874,259,222,745.92
        应付股利12,211,417.2125,458,486.5412,928,854.03217,787,021.9
  应付分保账款00--
  保险合同准备金00--
  代理买卖证券款00--
  代理承销证券款00--
  一年内到期的非流动负债2,839,799,130.493,228,428,808.273,040,115,709.042,562,370,858.25
  其他流动负债49,300,232.4132,449,541.1523,727,322.7138,524,458.44
  流动负债合计10,004,235,901.7211,212,979,127.0511,764,304,280.612,711,035,798.62
非流动负债:
  长期借款10,021,425,747.998,168,145,565.058,659,244,824.748,635,722,361.02
  应付债券00--
  优先股00--
  永续债00--
  租赁负债1,330,627,661.91,420,109,137.591,785,619,446.951,833,197,203.22
  长期应付款3,915,770,679.133,843,907,739.934,253,544,062.924,326,198,495.99
  长期应付职工薪酬00--
  预计负债78,588,429.4169,608,050.4161,646,500.7754,546,400.69
  递延收益243,484,885.84245,861,621.81236,641,342.72209,282,887.39
  递延所得税负债10,997,278.4911,498,695.0917,897,424.3318,984,721.84
  其他非流动负债00--
  非流动负债合计15,600,894,682.7613,759,130,809.8815,014,593,602.4315,077,932,070.15
  负债合计25,605,130,584.4824,972,109,936.9326,778,897,883.0327,788,967,868.77
所有者权益(或股东权益):
  实收资本(或股本)1,623,324,6141,623,324,6141,623,324,6141,623,324,614
  其他权益工具00--
  优先股00--
  永续债00--
  资本公积8,420,709,597.948,426,967,548.288,582,902,943.638,587,207,370.68
  减:库存股500,470,271.76500,470,271.76500,470,271.76500,470,271.76
  其他综合收益-18,628,425.71-11,335,385.6-132,116.242,294,503.59
  专项储备24,964,502.0823,121,584.2824,482,463.4422,130,895.96
  盈余公积311,141,121.3311,141,121.3279,891,602.98279,891,602.98
  一般风险准备00--
  未分配利润2,226,782,825.581,938,903,566.262,328,097,730.482,085,281,778.6
  归属于母公司股东权益合计12,087,823,963.4311,811,652,776.7612,338,096,966.5312,099,660,494.05
  少数股东权益2,168,894,498.441,825,341,236.261,845,066,514.791,760,764,558.24
  股东权益合计14,256,718,461.8713,636,994,013.0214,183,163,481.3213,860,425,052.29
  负债和股东权益合计39,861,849,046.3538,609,103,949.9540,962,061,364.3541,649,392,921.06
公告日期2026-04-282026-04-282025-10-282025-08-29
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