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南网储能

(600995)

  

流通市值:481.64亿  总市值:481.64亿
流通股本:31.96亿   总股本:31.96亿

现金流量表

报告期2026-03-312025-12-312025-09-302025-06-30
公司类型通用通用通用通用
一、经营活动产生的现金流量:
  销售商品、提供劳务收到的现金1,909,337,890.88,249,729,099.165,614,861,861.943,413,923,248.07
  收到其他与经营活动有关的现金37,705,019.95297,609,319.15226,461,893.82101,271,126.79
  经营活动现金流入小计1,947,042,910.758,547,338,418.315,841,323,755.763,515,194,374.86
  购买商品、接受劳务支付的现金187,521,725.111,066,678,587.37589,240,274.37333,204,237.91
  支付给职工以及为职工支付的现金297,715,604.11,134,773,751.96709,933,434.28466,264,937.88
  支付的各项税费311,968,819.461,344,755,826.99902,535,962.9510,120,689.66
  支付其他与经营活动有关的现金123,525,528.51378,557,355.24316,650,058.51178,921,772.7
  经营活动现金流出小计920,731,677.183,924,765,521.562,518,359,730.061,488,511,638.15
  经营活动产生的现金流量净额1,026,311,233.574,622,572,896.753,322,964,025.72,026,682,736.71
二、投资活动产生的现金流量:
  收回投资收到的现金-500,000,000500,000,000500,000,000
  取得投资收益收到的现金-6,557,689.326,557,689.324,406,849.32
  处置固定资产、无形资产和其他长期资产收回的现金净额5,676,590.0615,643,038.6312,919,709.0270,905
  收到的其他与投资活动有关的现金6,250,776.22,292,483.182,292,483.182,292,483.18
  投资活动现金流入小计11,927,366.26524,493,211.13521,769,881.52506,770,237.5
  购建固定资产、无形资产和其他长期资产支付的现金2,202,995,780.288,617,427,074.885,602,853,730.13,821,373,822.03
  投资支付的现金2,595,814.29248,112,681.7710,042,1003,542,100
  支付其他与投资活动有关的现金481,340.282,004,218.051,532,661.11,080,088.88
  投资活动现金流出小计2,206,072,934.858,867,543,974.75,614,428,491.23,825,996,010.91
  投资活动产生的现金流量净额-2,194,145,568.59-8,343,050,763.57-5,092,658,609.68-3,319,225,773.41
三、筹资活动产生的现金流量:
  吸收投资收到的现金2,007,235,888.66490,824,000207,460,000102,250,000
  其中:子公司吸收少数股东投资收到的现金2,007,235,888.66472,250,000207,250,000102,250,000
  取得借款收到的现金2,573,173,020.596,794,833,760.294,403,685,675.32,222,185,675.3
  收到其他与筹资活动有关的现金-1,600,000,0001,600,000,0001,600,000,000
  筹资活动现金流入小计4,580,408,909.258,885,657,760.296,211,145,675.33,924,435,675.3
  偿还债务支付的现金2,008,220,361.672,092,140,816.951,407,064,960.14439,002,575.14
  分配股利、利润或偿付利息支付的现金192,852,228.031,291,361,913.681,104,602,643.46757,641,134.96
  其中:子公司支付给少数股东的股利、利润-285,892,653.93285,892,653.93245,496,653.93
  支付其他与筹资活动有关的现金25,436,726.05597,201,783.6887,127,296.2555,118,171.8
  筹资活动现金流出小计2,226,509,315.753,980,704,514.312,598,794,899.851,251,761,881.9
  筹资活动产生的现金流量净额2,353,899,593.54,904,953,245.983,612,350,775.452,672,673,793.4
四、汇率变动对现金及现金等价物的影响-17,742.59-170,786.68414,081.2414,081.43
五、现金及现金等价物净增加额1,186,047,515.891,184,304,592.481,843,070,272.671,380,544,838.13
  加:期初现金及现金等价物余额4,596,307,284.153,412,002,691.673,412,002,691.673,412,002,691.67
  期末现金及现金等价物余额5,782,354,800.044,596,307,284.155,255,072,964.344,792,547,529.8
补充资料:
  净利润-2,078,274,633.03-1,008,953,828.13
  资产减值准备-1,711,871.69--2,975.41
  固定资产和投资性房地产折旧-1,618,155,892.44-785,705,837.16
  其中:固定资产折旧、油气资产折耗、生产性生物资产折旧-1,618,155,892.44-785,705,837.16
  无形资产摊销-85,570,672.4-41,427,661.18
  长期待摊费用摊销-30,681,523.04-15,561,268.05
  处置固定资产、无形资产和其他长期资产的损失--11,131,385.95--2,269.6
  固定资产报废损失-23,967,764.32-15,853.93
  公允价值变动损失--3,400-198,400
  财务费用-473,688,571.08-233,556,393.01
  投资损失--54,204,794.62--17,776,679.86
  递延所得税--38,802,118.82--10,518,698.21
  其中:递延所得税资产减少--67,112,566.85--11,760,042.48
    递延所得税负债增加-28,310,448.03-1,241,344.27
  存货的减少--15,168,618.13--10,060,898.88
  经营性应收项目的减少--110,867,467.28--292,799,433.66
  经营性应付项目的增加-508,227,976.55-253,625,607.66
  现金的期末余额-4,596,307,284.15-4,792,547,529.8
  减:现金的期初余额-3,412,002,691.67-3,412,002,691.67
  现金及现金等价物的净增加额-1,184,304,592.48-1,380,544,838.13
公告日期2026-04-292026-03-312025-10-292025-08-30
审计意见(境内)标准无保留意见
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