当前位置:首页 - 行情中心 - 神马电力(603530) - 财务分析 - 资产负债表

神马电力

(603530)

  

流通市值:223.26亿  总市值:225.47亿
流通股本:4.27亿   总股本:4.32亿

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216,633,406.25262,015,594.48325,087,319.52314,630,199.05
  交易性金融资产75,381,682.8620,000,00048,000,00043,000,000
  应收票据及应收账款833,466,057.1862,124,985.59785,886,366.3690,128,369.2
  其中:应收票据44,604,541.444,820,642.0353,328,22648,789,065.93
        应收账款788,861,515.7817,304,343.56732,558,140.3641,339,303.27
  应收款项融资7,455,471.6214,297,501.951,682,504.8518,477,627.82
  预付款项44,903,800.5749,305,411.8562,792,813.249,457,846.34
  其他应收款合计36,852,845.3236,127,433.0119,592,857.1925,365,823.9
  存货432,807,998.79400,487,887.61457,675,563.93459,647,537.3
  合同资产15,816,047.1718,172,907.8519,326,752.1619,187,797.66
  一年内到期的非流动资产12,945,802.9812,945,802.9817,358,141.3417,345,700.96
  其他流动资产2,479,704.761,514,565.5412,244,549.3112,732,811.53
  流动资产合计1,678,742,817.421,676,992,090.861,749,646,867.81,649,973,713.76
非流动资产:
  固定资产704,942,536.61699,658,670.33677,260,353.46630,398,112.95
  在建工程62,312,970.2348,197,115.8859,521,758.6454,441,051.21
  使用权资产12,770,360.91---
  无形资产112,926,201.26113,978,434.4113,289,733.64114,363,373.47
  长期待摊费用5,712,976.345,215,969.795,079,495.065,446,705.38
  递延所得税资产21,759,622.2118,660,702.5315,078,343.6412,706,523.32
  其他非流动资产75,809,745.1872,292,100.9475,348,624.4378,519,900.29
  非流动资产合计996,234,412.74958,002,993.87945,578,308.87895,875,666.62
  资产总计2,674,977,230.162,634,995,084.732,695,225,176.672,545,849,380.38
流动负债:
  短期借款189,050,000250,000,000315,980,000363,030,000
  交易性金融负债---588,316.37
  应付票据及应付账款99,453,152.17112,862,959.41208,979,004.35208,951,111.68
  其中:应付票据-5,000,00064,000,00069,000,000
        应付账款99,453,152.17107,862,959.41144,979,004.35139,951,111.68
  合同负债7,050,057.982,368,499.45,210,713.945,581,988.51
  应付职工薪酬27,548,379.7742,334,255.3935,032,301.1733,929,592.3
  应交税费49,363,200.8353,253,563.1337,597,670.5328,820,799.64
  其他应付款合计89,668,658.2997,764,163.297,849,921.9899,697,680.92
  其他流动负债586,578.34673,078.13446,038.7451,210.09
  流动负债合计462,720,027.38559,256,518.66701,095,650.67741,050,699.51
非流动负债:
  长期借款213,300,000213,300,000297,000,000-
  租赁负债12,445,649.98---
  预计负债846,735.85---
  递延收益83,636,825.5466,448,357.5164,651,611.1356,500,139.04
  非流动负债合计310,229,211.37279,748,357.51361,651,611.1356,500,139.04
  负债合计772,949,238.75839,004,876.171,062,747,261.8797,550,838.55
所有者权益(或股东权益):
  实收资本(或股本)431,684,575431,684,575431,684,575431,684,575
  资本公积526,340,910.18517,709,297.88508,091,988.33503,452,615.21
  减:库存股330,127,690.75330,127,690.75330,040,328.4593,183,194.96
  其他综合收益-2,291,007.72-1,422,590.25-666,272.12-166,739.91
  盈余公积192,579,255.72192,579,255.72147,395,553.82147,395,553.82
  未分配利润1,083,841,948.98985,567,360.96876,012,398.29759,115,732.67
  归属于母公司股东权益合计1,902,027,991.411,795,990,208.561,632,477,914.871,748,298,541.83
  股东权益合计1,902,027,991.411,795,990,208.561,632,477,914.871,748,298,541.83
  负债和股东权益合计2,674,977,230.162,634,995,084.732,695,225,176.672,545,849,380.38
公告日期2026-04-282026-04-172025-10-212025-08-13
审计意见(境内)标准无保留意见
TOP↑