当前位置:首页 - 行情中心 - 嘉泽新能(601619) - 财务分析

嘉泽新能

(601619)

  

流通市值:127.58亿  总市值:152.63亿
流通股本:24.35亿   总股本:29.13亿

嘉泽新能(601619)财务分析

净利润 + 每股收益
------
  • 净利润(亿元)
  • 每股收益(元)

    截至2025年年度实现净利润7.15亿元,每股收益0.28元。

股东权益 + 未分配利润
------
  • 股东权益(亿元)
  • 未分配利润(亿元)

    截至2025年年度最新股东权益795392.31万元,未分配利润244105.67万元。

总资产 + 负债
------
  • 总资产(亿元)
  • 负债(亿元)

    截至2025年年度最新总资产2281138.96万元,负债1485746.65万元。

利润表
报告期2025-12-312025-09-302025-06-302025-03-31
营业总收入2,499,467,130.661,864,149,031.131,310,278,977.57660,698,113.8
营业总成本1,731,219,760.721,242,938,261.43821,452,238.88405,608,665.26
其他经营收益
营业利润855,006,478.21682,641,831.23526,078,366.67275,270,780.72
利润总额843,342,040.79680,605,443.52524,334,348.68274,354,097.36
净利润714,584,213.44598,898,442.37462,707,887.69240,595,474.76
每股收益
其他综合收益----
综合收益总额714,584,213.44598,898,442.37462,707,887.69240,595,474.76
资产负债表
报告期2025-12-312025-09-302025-06-302025-03-31
流动资产:
流动资产合计4,226,219,125.95,253,941,235.664,493,821,425.714,344,553,950.92
非流动资产:
非流动资产合计18,585,170,457.9318,660,715,384.3418,149,568,311.4118,054,979,582.5
资产总计22,811,389,583.8323,914,656,62022,643,389,737.1222,399,533,533.42
流动负债:
流动负债合计2,071,079,459.592,691,136,027.692,342,914,960.792,445,190,956.29
非流动负债:
非流动负债合计12,786,387,041.9913,219,058,362.9613,621,165,296.2813,088,832,837.59
负债合计14,857,466,501.5815,910,194,390.6515,964,080,257.0715,534,023,793.88
所有者权益(或股东权益):
归属于母公司股东权益合计7,925,401,540.588,087,732,240.86,759,343,922.956,947,606,121.68
股东权益合计7,953,923,082.258,004,462,229.356,679,309,480.056,865,509,739.54
负债和股东权益合计22,811,389,583.8323,914,656,62022,643,389,737.1222,399,533,533.42
现金流量表
报告期2025-12-312025-09-302025-06-302025-03-31
经营活动产生的现金流量:
经营活动现金流入小计3,438,499,417.742,725,214,320.061,019,129,728.89477,447,524.21
经营活动现金流出小计688,619,907.3548,805,998.38365,047,969.91185,826,385.06
经营活动产生的现金流量净额2,749,879,510.442,176,408,321.68654,081,758.98291,621,139.15
投资活动产生的现金流量:
投资活动现金流入小计172,144,844.53103,577,992.5530,076,038.9924,713,852.82
投资活动现金流出小计1,645,205,169.56824,413,102.71506,483,337.17219,794,458.91
投资活动产生的现金流量净额-1,473,060,325.03-720,835,110.16-476,407,298.18-195,080,606.09
筹资活动产生的现金流量:
筹资活动现金流入小计5,545,342,172.864,370,721,449.072,827,602,354.081,212,273,578.03
筹资活动现金流出小计6,077,295,778.423,986,328,295.652,978,661,877.281,303,805,719.26
筹资活动产生的现金流量净额-531,953,605.56384,393,153.42-151,059,523.2-91,532,141.23
汇率变动对现金及现金等价物的影响----
现金及现金等价物净增加额744,865,579.851,839,966,364.9426,614,937.65,008,391.83
期末现金及现金等价物余额1,016,705,582.52,111,806,367.59298,454,940.25276,848,394.48
补充资料:
现金及现金等价物的净增加额744,865,579.85-26,614,937.6-
最新报告期:2026-03-23
研究机构分析师预测每股收益(元)更新日
2025年2026年2027年
华源证券查浩,蔡思,刘晓宁0.310.34--2026-03-23
TOP↑