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ST能特

(002102)

  

流通市值:57.58亿  总市值:65.60亿
流通股本:21.73亿   总股本:24.76亿

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1,223,012,699.93998,568,345.23931,635,269.131,050,315,870.44
  应收票据及应收账款560,928,918.01460,349,749.23370,292,642.34344,926,314.53
  其中:应收票据1,271,187.56,550,000--
        应收账款559,657,730.51453,799,749.23370,292,642.34344,926,314.53
  应收款项融资--198,000-
  预付款项225,168,615.13210,553,065.48303,240,778.34311,721,054.69
  其他应收款合计399,687,395.6372,379,089.4427,366,777.12414,612,902.77
  其中:应收利息1,549,081.344,128,107.943,777,737.382,871,004.91
  存货1,252,627,370.051,199,218,007.451,133,000,643.461,160,221,209.74
  一年内到期的非流动资产1,548,687.11,548,687.11,548,687.11,548,687.1
  其他流动资产45,010,957.6738,398,945.8234,903,082.4760,058,378.84
  流动资产合计3,707,984,643.493,281,015,889.713,202,185,879.963,343,404,418.11
非流动资产:
  长期应收款4,646,061.284,646,061.284,646,061.286,194,748.38
  长期股权投资898,639,038.551,297,672,988.941,266,725,627.821,085,892,240.49
  其他权益工具投资459,004.94459,004.94492,125.41492,125.41
  投资性房地产530,530,700530,530,700546,078,500546,078,500
  固定资产840,222,332.99874,347,741.73907,454,713.39952,472,040.06
  在建工程140,362,835.6105,237,236.0857,199,840.154,035,588.17
  使用权资产480,064.27480,064.271,385,891.991,531,421.19
  无形资产158,238,864.24159,463,598.4124,068,017.39267,143,191.25
  商誉358,474,750.12358,474,750.12589,025,886.44589,025,886.44
  长期待摊费用2,099,335.722,284,543.932,469,752.142,351,603.36
  递延所得税资产44,033,796.9641,751,712.3655,230,568.352,336,972.1
  其他非流动资产9,416,280.12,450,598.384,825,930.73,289,280.71
  非流动资产合计2,987,603,064.773,377,799,000.433,559,602,914.963,560,843,597.56
  资产总计6,695,587,708.266,658,814,890.146,761,788,794.926,904,248,015.67
流动负债:
  短期借款884,624,608.62885,095,219.16982,371,884.751,054,048,388.69
  应付票据及应付账款1,593,444,436.371,524,314,608.071,439,155,581.561,553,044,649.7
  其中:应付票据1,366,773,1201,310,570,2601,201,561,830.511,327,250,701.76
        应付账款226,671,316.37213,744,348.07237,593,751.05225,793,947.94
  预收款项3,344,889.18926,584.624,296,606.815,386,649.75
  合同负债45,680,715.38106,992,775.07126,641,236.82105,662,549.43
  应付职工薪酬11,388,829.826,030,503.0919,050,518.0214,547,249.58
  应交税费16,005,449.178,588,047.58,975,792.39,499,033.62
  其他应付款合计344,516,183.42338,745,076.33279,791,836.94279,524,011.23
  一年内到期的非流动负债158,600,000159,345,193.92627,642.918,621,593.95
  其他流动负债5,913,054.311,446,999.4316,463,360.6313,736,131.41
  流动负债合计3,063,518,166.243,061,485,007.192,877,374,460.743,044,070,257.36
非流动负债:
  长期借款189,646,416.67189,400,000249,137,588.89199,149,250
  租赁负债498,777.25-850,210.691,008,801.53
  预计负债22,968,314.6822,398,725.6419,506,479.0618,924,232.48
  递延收益55,099,160.3751,580,644.1450,766,127.9152,951,611.68
  递延所得税负债63,569,805.9163,635,786.167,685,125.8167,810,537.5
  其他非流动负债00-0
  非流动负债合计331,782,474.88327,015,155.88387,945,532.36339,844,433.19
  负债合计3,395,300,641.123,388,500,163.073,265,319,993.13,383,914,690.55
所有者权益(或股东权益):
  实收资本(或股本)2,475,626,7902,475,626,7902,475,626,7902,632,580,490
  资本公积1,319,000,628.741,319,000,628.741,319,350,824.881,664,728,462.14
  减:库存股140,002,324.78140,002,324.78140,002,324.78499,999,655.85
  其他综合收益154,173,933.38154,201,135.99154,253,364.84154,266,608.77
  专项储备-0-463,526.34
  盈余公积29,747,031.5629,747,031.5629,747,031.5629,747,031.56
  未分配利润-738,532,885.78-762,243,395.99-537,597,707.74-655,108,975.09
  归属于母公司股东权益合计3,100,013,173.123,076,329,865.523,301,377,978.763,326,677,487.87
  少数股东权益200,273,894.02193,984,861.55195,090,823.06193,655,837.25
  股东权益合计3,300,287,067.143,270,314,727.073,496,468,801.823,520,333,325.12
  负债和股东权益合计6,695,587,708.266,658,814,890.146,761,788,794.926,904,248,015.67
公告日期2026-04-292026-04-292025-10-282025-08-26
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