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苏能股份

(600925)

  

流通市值:72.91亿  总市值:312.76亿
流通股本:16.06亿   总股本:68.89亿

资产负债表

报告期2025-09-302025-06-302025-03-312024-12-31
公司类型通用通用通用通用
流动资产:
  货币资金4,522,156,874.135,141,209,631.755,960,819,644.895,664,644,288.99
  交易性金融资产250,000,000250,000,000--
  应收票据及应收账款2,139,823,209.331,971,693,402.022,723,671,303.832,375,452,911.64
  其中:应收票据910,961,006.561,336,998,190.571,731,605,535.941,585,022,631.58
        应收账款1,228,862,202.77634,695,211.45992,065,767.89790,430,280.06
  应收款项融资223,150,987.09200,963,151.69188,188,069.98226,959,342.2
  预付款项267,736,415.73128,580,542.26280,454,828.12274,606,049.04
  其他应收款合计1,474,233,400.92819,870,317.41679,727,146.831,206,570,440.82
        应收股利---2,441,143.3
  存货410,420,928.7807,293,215.82608,854,908.52559,778,931.85
  其他流动资产910,793,826.53846,940,665.04790,417,766.4812,307,755.72
  流动资产合计10,198,315,642.4310,166,550,925.9911,232,133,668.5711,120,319,720.26
非流动资产:
  长期股权投资411,762,230.13420,387,016.59429,342,430.2425,586,890.28
  其他权益工具投资9,394,036.369,777,130.129,820,527.469,708,292.96
  投资性房地产45,109,485.5445,050,715.2545,447,904.9345,864,454.55
  固定资产16,417,291,834.313,343,457,889.9513,308,742,570.7813,458,786,279.79
  在建工程4,630,082,309.417,157,440,316.016,754,972,619.286,176,041,370.33
  使用权资产284,183,076.97120,412,336.12104,291,149.37110,041,265.92
  无形资产6,322,889,482.426,336,915,682.986,295,705,621.756,352,853,932.17
  长期待摊费用455,475,418.75463,431,876.77475,496,572.94478,725,014.86
  递延所得税资产815,105,930.82759,840,041.16761,763,333.28764,271,378.16
  其他非流动资产154,416,061.35194,033,961.74162,222,696.84248,389,936.02
  非流动资产合计29,545,709,866.0528,850,746,966.6928,347,805,426.8328,070,268,815.04
  资产总计39,744,025,508.4839,017,297,892.6839,579,939,095.439,190,588,535.3
流动负债:
  短期借款1,899,625,679.571,895,138,888.891,741,493,910.381,851,377,572.76
  应付票据及应付账款3,921,492,838.964,126,101,083.314,238,113,158.954,882,873,700.31
  其中:应付票据915,414,480.07876,216,133.58940,424,691.71,184,209,113.87
        应付账款3,006,078,358.893,249,884,949.733,297,688,467.253,698,664,586.44
  合同负债641,035,659.23290,777,832.96460,485,846.17480,913,003.72
  应付职工薪酬283,802,790.84257,436,692.81221,519,831.54295,769,644.61
  应交税费247,199,054.01166,860,048.55146,106,048.38373,358,738.4
  其他应付款合计1,536,889,184.691,610,385,512.26899,652,535.181,048,632,623.52
        应付股利245,791,953.181,037,351,384.19285,791,953.18409,729,915.51
  一年内到期的非流动负债640,693,309.051,073,590,645.16395,994,506.01982,982,571.65
  其他流动负债82,456,969.46448,057,962.42949,251,286.66571,918,922.04
  流动负债合计9,253,195,485.819,868,348,666.369,052,617,123.2710,487,826,777.01
非流动负债:
  长期借款7,764,447,170.86,883,073,770.387,098,350,287.315,832,550,301.7
  租赁负债269,313,384.3693,540,032.779,252,684.2378,839,972.83
  长期应付款2,944,573,356.922,921,040,756.923,265,832,986.43,093,975,556.92
  长期应付职工薪酬605,730,000577,655,000576,861,400.57571,216,000
  预计负债820,022,073.82808,587,426.57822,322,898.69788,205,169.94
  递延收益46,218,706.5150,407,609.549,806,220.3254,124,363.42
  递延所得税负债276,467,647.29234,428,182.67234,641,534.32232,786,075.85
  其他非流动负债71,269,196.9874,283,464.2781,437,070.8884,321,228.05
  非流动负债合计12,798,041,536.6811,643,016,243.0112,208,505,082.7210,736,018,668.71
  负债合计22,051,237,022.4921,511,364,909.3721,261,122,205.9921,223,845,445.72
所有者权益(或股东权益):
  实收资本(或股本)6,888,888,8896,888,888,8896,888,888,8896,888,888,889
  资本公积2,241,058,576.422,240,388,779.52,240,154,846.992,240,154,846.99
  其他综合收益38,870,217.8129,901,038.1332,375,044.1934,649,410.26
  专项储备215,719,929.84215,078,981.69153,088,989.8768,752,423.73
  盈余公积749,900,612.32749,900,612.32749,900,612.32749,900,612.32
  未分配利润5,261,983,396.495,167,206,823.446,110,322,073.395,914,460,643.9
  归属于母公司股东权益合计15,396,421,621.8815,291,365,124.0816,174,730,455.7615,896,806,826.2
  少数股东权益2,296,366,864.112,214,567,859.232,144,086,433.652,069,936,263.38
  股东权益合计17,692,788,485.9917,505,932,983.3118,318,816,889.4117,966,743,089.58
  负债和股东权益合计39,744,025,508.4839,017,297,892.6839,579,939,095.439,190,588,535.3
公告日期2025-10-292025-08-222025-04-252025-04-25
审计意见(境内)标准无保留意见
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