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潞安环能

(601699)

  

流通市值:466.66亿  总市值:466.66亿
流通股本:29.91亿   总股本:29.91亿

现金流量表

报告期2025-06-302025-03-312024-12-312024-09-30
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14,046,481,596.166,631,329,539.5436,704,170,087.9327,429,142,592.86
  收到的税费返还5,624,470.31349,326.31--
  收到其他与经营活动有关的现金153,404,164.8946,826,423.8730,344,395.8368,040,857.21
  经营活动现金流入小计14,205,510,231.366,678,505,289.6537,434,514,483.7327,797,183,450.07
  购买商品、接受劳务支付的现金4,338,484,094.642,228,055,926.4810,503,297,843.18,673,792,299.21
  支付给职工以及为职工支付的现金5,736,239,577.633,904,689,133.9910,333,560,626.37,199,068,289.13
  支付的各项税费3,292,547,660.311,510,872,070.139,826,203,170.427,274,180,687.07
  支付其他与经营活动有关的现金1,699,079,457.481,455,348,673.781,807,196,777.84916,713,124.72
  经营活动现金流出小计15,066,350,790.069,098,965,804.3832,470,258,417.6624,063,754,400.13
  经营活动产生的现金流量净额-860,840,558.7-2,420,460,514.734,964,256,066.073,733,429,049.94
二、投资活动产生的现金流量:
  收回投资收到的现金1,800,000,000900,000,0004,720,956,837.083,510,525,364.53
  取得投资收益收到的现金4,291,055.89890,078.2272,815,434.8570,897,478.83
  处置固定资产、无形资产和其他长期资产收回的现金净额6,010,797.64,908.6130,809,435.656,245,697.9
  投资活动现金流入小计1,810,301,853.49900,894,986.824,924,581,707.583,587,668,541.26
  购建固定资产、无形资产和其他长期资产支付的现金107,892,416.2785,470,260.3812,995,701,868.91318,397,670.32
  投资支付的现金1,810,610,746.33900,000,0004,720,082,837.083,509,557,472.55
  支付其他与投资活动有关的现金--31,900,000-
  投资活动现金流出小计1,918,503,162.6985,470,260.3817,747,684,705.993,827,955,142.87
  投资活动产生的现金流量净额-108,201,309.11-84,575,273.56-12,823,102,998.41-240,286,601.61
三、筹资活动产生的现金流量:
  取得借款收到的现金1,069,900,00060,000,000--
  收到其他与筹资活动有关的现金4,662,6002,406,60041,721,000-
  筹资活动现金流入平衡项目000-
  筹资活动现金流入小计1,074,562,60062,406,60041,721,000-
  偿还债务支付的现金60,000,000-1,052,800,0001,050,000,000
  分配股利、利润或偿付利息支付的现金1,226,050,973.761,799,796.74,787,708,753.614,742,142,427.88
  其中:子公司支付给少数股东的股利、利润--29,600,000-
  支付其他与筹资活动有关的现金1,460,531,207.3642,720,553.051,159,881,037.73938,331,298.62
  筹资活动现金流出小计2,746,582,181.1244,520,349.757,000,389,791.346,730,473,726.5
  筹资活动产生的现金流量净额-1,672,019,581.1217,886,250.25-6,958,668,791.34-6,730,473,726.5
五、现金及现金等价物净增加额-2,641,061,448.93-2,487,149,538.04-14,817,515,723.68-3,237,331,278.17
  加:期初现金及现金等价物余额9,576,810,519.499,576,810,519.4924,394,326,243.1724,394,326,243.17
  期末现金及现金等价物余额6,935,749,070.567,089,660,981.459,576,810,519.4921,156,994,965
补充资料:
  净利润1,054,712,728-2,867,380,226.25-
  资产减值准备38,543,300.44-46,255,980.28-
  固定资产和投资性房地产折旧1,048,393,075.1-2,133,001,283.52-
  其中:固定资产折旧、油气资产折耗、生产性生物资产折旧1,048,393,075.1-2,133,001,283.52-
  无形资产摊销252,397,856.51-512,883,710.63-
  长期待摊费用摊销20,500-68,500-
  处置固定资产、无形资产和其他长期资产的损失-204,389,358.79--26,976,726.81-
  固定资产报废损失-3,235,875.41--47,432,099.92-
  财务费用151,176,331.16-442,985,308.68-
  投资损失-85,376,400.59--52,299,967.42-
  递延所得税0--341,956,456.2-
  其中:递延所得税资产减少---376,655,489.84-
    递延所得税负债增加--34,699,033.64-
  存货的减少29,056,917.45-455,911,704.26-
  经营性应收项目的减少-1,546,818,156.89-1,682,066,113.62-
  经营性应付项目的增加-1,887,769,042.5--3,376,607,247.69-
  现金的期末余额6,935,749,070.56-9,576,810,519.49-
  减:现金的期初余额9,576,810,519.49-24,394,326,243.17-
  现金及现金等价物的净增加额-2,641,061,448.93--14,817,515,723.68-
公告日期2025-08-282025-04-292025-04-292024-10-31
审计意见(境内)标准无保留意见
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