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豫能控股

(001896)

  

流通市值:83.31亿  总市值:83.31亿
流通股本:15.26亿   总股本:15.26亿

资产负债表

报告期2025-06-302025-03-312024-12-312024-09-30
公司类型通用通用通用通用
流动资产:
  货币资金1,540,013,585.981,844,223,558.181,350,216,655.181,673,821,294.33
  应收票据及应收账款1,668,258,682.761,627,354,319.891,829,937,025.381,957,178,714.39
  其中:应收票据35,732,808.215,852,435.69,675,157.4734,248,464.68
        应收账款1,632,525,874.561,611,501,884.291,820,261,867.911,922,930,249.71
  应收款项融资18,996,485.841,557,890.9512,150,706.6512,135,080.5
  预付款项510,173,062.04539,040,744.2627,369,696.68923,143,631.76
  其他应收款合计140,888,892.96142,259,937.22181,711,410.84155,597,113.75
        应收股利63,897,707.4772,897,707.4781,109,308.15-
  存货699,758,670.92631,610,709.831,002,178,852.74896,852,732.66
  其他流动资产264,364,746.77353,665,056.54301,086,578.51269,978,647.66
  流动资产合计4,842,454,127.235,179,712,216.815,304,650,925.985,888,707,215.05
非流动资产:
  长期应收款37,400,00037,400,00037,400,00037,400,000
  长期股权投资904,642,411.73897,505,725.53888,354,026.91975,616,505.25
  其他权益工具投资83,036,796.1870,937,00070,937,00064,809,550.3
  投资性房地产7,832,201.867,953,2958,074,388.148,195,481.28
  固定资产17,401,888,519.8717,682,863,009.5517,994,974,607.9218,117,648,574.82
  在建工程4,613,048,004.144,263,656,017.253,916,245,186.53,379,988,052.08
  使用权资产137,969,033.83154,975,121.7159,978,275.45120,572,589.05
  无形资产2,002,005,504.932,015,175,435.162,027,843,458.21,709,308,657.88
  开发支出2,688,160.382,688,160.382,376,415.13,064,150.95
  长期待摊费用1,513,642.776,733,931.535,617,124.242,404,294.88
  递延所得税资产494,406,341.1534,670,316.76566,080,833.92606,955,702.48
  其他非流动资产695,700,861.34581,310,531.57634,667,248.82570,038,044.06
  非流动资产合计26,382,131,478.1326,255,868,544.4326,312,548,565.225,596,001,603.03
  资产总计31,224,585,605.3631,435,580,761.2431,617,199,491.1831,484,708,818.08
流动负债:
  短期借款4,166,133,733.093,949,658,704.013,716,828,194.344,004,276,875.86
  应付票据及应付账款1,936,991,770.411,954,990,704.352,084,847,005.292,197,918,704.94
  其中:应付票据635,314,731.01569,682,330.76675,211,229.62699,574,034.61
        应付账款1,301,677,039.41,385,308,373.591,409,635,775.671,498,344,670.33
  预收款项558,684.56333,049.2657,225.36496,139.1
  合同负债63,784,623.6584,592,532.36140,006,441.5270,666,485.27
  应付职工薪酬107,384,060.8999,229,710.72119,252,812.49105,265,508.8
  应交税费67,719,202.5149,414,111.0282,514,844.5543,500,530.51
  其他应付款合计822,132,744.75714,228,967.38861,389,029.68478,194,610.07
  一年内到期的非流动负债3,200,909,481.163,673,110,446.14,075,546,434.013,202,479,412.07
  其他流动负债1,056,078,114.031,050,915,669.411,045,686,381.581,028,774,095.98
  流动负债合计11,421,692,415.0511,576,473,894.5512,126,728,368.8211,131,572,362.6
非流动负债:
  长期借款15,223,035,076.1115,201,219,810.6814,726,943,654.6915,370,879,553.93
  租赁负债134,814,813.01151,519,484.18149,203,666.94119,599,533.19
  长期应付款612,375,954.39759,924,536.51945,815,753.671,157,976,768.72
  长期应付职工薪酬2,056,4002,056,4002,869,9814,640,200
  递延收益74,367,656.3972,816,091.9673,799,233.3775,675,232.7
  递延所得税负债26,522,165.2330,308,513.5428,609,120.1435,227,941.5
  其他非流动负债90,063,841.9389,754,424.2890,810,317.6387,830,731.18
  非流动负债合计16,163,235,907.0616,307,599,261.1516,018,051,727.4416,851,829,961.22
  负债合计27,584,928,322.1127,884,073,155.728,144,780,096.2627,983,402,323.82
所有者权益(或股东权益):
  实收资本(或股本)1,525,781,3301,525,781,3301,525,781,3301,525,781,330
  资本公积6,533,794,714.676,536,994,154.496,541,050,592.446,540,447,607.85
  其他综合收益25,849,765.2320,854,937.9620,928,315.5318,416,029.09
  专项储备38,922,004.6428,858,263.384,333,976.811,467,097.63
  盈余公积183,737,055.75183,737,055.75183,737,055.75183,737,055.75
  一般风险准备960,425.86960,425.86960,425.86960,425.86
  未分配利润-5,066,825,794.47-5,125,741,521.15-5,170,030,637.12-5,137,949,373.08
  归属于母公司股东权益合计3,242,219,501.683,171,444,646.293,106,761,059.263,142,860,173.1
  少数股东权益397,437,781.57380,062,959.25365,658,335.66358,446,321.16
  股东权益合计3,639,657,283.253,551,507,605.543,472,419,394.923,501,306,494.26
  负债和股东权益合计31,224,585,605.3631,435,580,761.2431,617,199,491.1831,484,708,818.08
公告日期2025-08-282025-04-302025-04-122024-10-31
审计意见(境内)标准无保留意见
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