当前位置:首页 - 行情中心 - 江苏新能(603693) - 财务分析 - 资产负债表

江苏新能

(603693)

  

流通市值:105.46亿  总市值:105.46亿
流通股本:8.91亿   总股本:8.91亿

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1,715,289,868.781,393,198,590.911,576,089,251.461,762,391,805.24
  应收票据及应收账款3,306,610,113.313,436,141,747.583,344,106,325.683,088,888,200.93
  其中:应收票据1,076,172.94746,336.42627,390.59674,983.7
        应收账款3,305,533,940.373,435,395,411.163,343,478,935.093,088,213,217.23
  预付款项3,257,899.086,492,187.413,556,618.452,946,973.4
  其他应收款合计502,374,038.58503,876,071.74500,626,183.25486,479,409.96
        应收股利467,649,234.44467,649,234.44467,649,234.44467,649,234.44
  存货25,084,901.2721,314,377.6218,251,128.1718,796,938.81
  其他流动资产132,661,582.09120,569,194.74129,308,482.26156,697,906.52
  流动资产合计5,685,278,403.115,481,592,1705,571,937,989.275,516,201,234.86
非流动资产:
  长期股权投资714,868,283.94709,544,234.84699,178,175.32680,973,705.37
  固定资产9,805,343,677.219,901,080,540.89,948,361,701.0410,103,730,470.38
  在建工程444,518,555.05458,619,977.47341,032,995.16292,550,869.23
  使用权资产642,994,301.75468,897,350.24481,871,595.34490,155,443.51
  无形资产55,644,845.356,265,111.9557,556,613.9859,118,765.36
  开发支出529,056.02529,056.02--
  长期待摊费用1,909,398.651,989,554.62,069,710.542,149,866.49
  递延所得税资产81,614,370.4983,609,629.3674,705,796.9162,954,665.3
  其他非流动资产437,533,608.55473,298,606.72492,892,316.02415,911,023.77
  非流动资产合计12,184,956,096.9612,153,834,06212,097,668,904.3112,107,544,809.41
  资产总计17,870,234,500.0717,635,426,23217,669,606,893.5817,623,746,044.27
流动负债:
  短期借款218,126,600.02214,425,603.62173,121,580.55173,150,654.17
  应付票据及应付账款955,331,011.041,016,628,249.021,009,033,313.441,003,073,346.98
        应付账款955,331,011.041,016,628,249.021,009,033,313.441,003,073,346.98
  合同负债4,115,963.112,349,652.823,769,870.054,070,285.23
  应付职工薪酬12,833,087.1512,867,316.0712,578,759.1311,139,364.5
  应交税费45,603,696.2747,918,566.789,108,123.4765,221,984.1
  其他应付款合计148,377,839.21141,629,636.82118,527,928.08149,859,429.84
        应付股利72,550,00071,350,00071,350,00071,350,000
  一年内到期的非流动负债1,083,475,803.35629,979,427.19898,258,140.95716,303,059.15
  其他流动负债1,563,965.291,110,629.944,455,091.324,528,397.16
  流动负债合计2,469,427,965.442,066,909,082.182,308,852,806.992,127,346,521.13
非流动负债:
  长期借款4,824,603,986.255,214,842,465.84,968,408,653.785,095,783,853.77
  租赁负债561,683,167.53434,776,777.04454,601,457.62491,357,745.38
  长期应付款1,693,763,093.931,745,143,239.91,774,332,481.781,959,430,043.08
  预计负债119,544.96119,544.96754,143.42754,143.42
  递延收益44,495,000.7145,881,000.7147,267,000.7148,653,000.71
  非流动负债合计7,124,664,793.387,440,763,028.417,245,363,737.317,595,978,786.36
  负债合计9,594,092,758.829,507,672,110.599,554,216,544.39,723,325,307.49
所有者权益(或股东权益):
  实收资本(或股本)891,475,880891,475,880891,475,880891,475,880
  资本公积3,673,756,290.683,673,488,764.033,672,510,517.733,672,510,517.73
  其他综合收益--2,217,477.782,220,904.68
  专项储备8,900,921.567,241,792.246,579,657.823,790,996.89
  盈余公积201,120,726.13201,120,726.13201,120,726.13201,120,726.13
  未分配利润2,184,956,017.412,076,555,357.832,092,108,021.781,928,422,615.99
  归属于母公司股东权益合计6,960,209,835.786,849,882,520.236,866,012,281.246,699,541,641.42
  少数股东权益1,315,931,905.471,277,871,601.181,249,378,068.041,200,879,095.36
  股东权益合计8,276,141,741.258,127,754,121.418,115,390,349.287,900,420,736.78
  负债和股东权益合计17,870,234,500.0717,635,426,23217,669,606,893.5817,623,746,044.27
公告日期2025-10-292025-08-272025-04-232025-04-23
审计意见(境内)标准无保留意见
TOP↑