当前位置:首页 - 行情中心 - 国能日新(301162) - 财务分析 - 资产负债表

国能日新

(301162)

  

流通市值:49.17亿  总市值:76.49亿
流通股本:8522.56万   总股本:1.33亿

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265,298,565.46151,014,453.27288,559,448.06501,858,731.88
  交易性金融资产443,772,611.7280,898,959.93331,572,260.94140,450,590.04
  应收票据及应收账款474,454,186.55459,114,397.73403,814,407.76379,233,501.76
  其中:应收票据18,095,171.1321,561,561.6723,450,770.3229,311,357.34
        应收账款456,359,015.42437,552,836.06380,363,637.44349,922,144.42
  应收款项融资1,743,070.364,451,469.364,872,312.65,949,209.42
  预付款项5,170,7494,666,632.75,733,519.973,942,665.63
  其他应收款合计15,837,657.812,880,988.459,508,717.878,023,860.44
  存货97,246,287.84110,162,141.91105,477,916.32106,266,891.83
  合同资产10,969,336.8811,248,869.8210,364,579.3610,802,477.04
  其他流动资产80,643,305.4967,341,461.0741,551,925.9130,504,786.69
  流动资产合计1,395,135,771.081,101,779,374.241,201,455,088.791,189,736,199.85
非流动资产:
  长期股权投资228,957,448.84181,358,351.2893,794,700.4793,539,819.9
  其他权益工具投资--12,707,60012,707,600
  其他非流动金融资产52,885,70052,885,70052,885,70044,885,700
  固定资产580,093,810.08515,239,303.1441,857,394.2333,699,077.63
  在建工程-3,880,010.5511,707,966.827,726,033.66
  使用权资产60,719,029.352,752,572.5238,219,819.8438,393,047.41
  无形资产7,855,8278,022,689.648,346,694.918,679,416.94
  开发支出21,103,056.3417,019,932.7912,401,126.098,750,470.08
  长期待摊费用7,863,279.037,497,847.067,841,869.238,236,974.15
  递延所得税资产10,483,467.511,004,938.210,333,223.539,979,707.97
  其他非流动资产7,336,303.9713,034,952.666,727,722.5117,323,770.98
  非流动资产合计977,297,922.06862,696,297.8696,823,817.58603,921,618.72
  资产总计2,372,433,693.141,964,475,672.041,898,278,906.371,793,657,818.57
流动负债:
  短期借款37,526,452.5644,530,156.3168,548,467.932,110,773.37
  应付票据及应付账款249,781,419.12221,601,758.44217,531,492.24189,959,174.62
  其中:应付票据23,645,70011,645,700-10,189,339.44
        应付账款226,135,719.12209,956,058.44217,531,492.24179,769,835.18
  合同负债89,870,787.2392,129,389.4190,968,611.596,114,218.57
  应付职工薪酬17,238,149.2423,413,88516,609,279.9730,676,761.33
  应交税费15,754,612.468,189,151.687,423,886.098,683,834.92
  其他应付款合计19,071,517.7427,478,892.9231,555,638.2143,775,009.05
        应付股利-1,209,679.591,209,679.591,209,679.59
  一年内到期的非流动负债35,658,823.0832,550,143.6722,309,707.9820,853,691.43
  其他流动负债25,154,962.5729,825,756.2127,484,775.4427,491,777.02
  流动负债合计490,056,724479,719,133.64482,431,859.33451,044,682.58
非流动负债:
  长期借款72,790,251.7166,324,50024,893,999.9217,800,000
  租赁负债52,423,287.1243,950,740.7432,379,863.7932,167,252.82
  长期应付款184,781,967.91169,666,919.76143,528,211.1297,661,729.29
  递延所得税负债1,954,519.381,913,699.111,903,331.31,820,720.18
  非流动负债合计311,950,026.12281,855,859.61202,705,406.13149,449,702.29
  负债合计802,006,750.12761,574,993.25685,137,265.46600,494,384.87
所有者权益(或股东权益):
  实收资本(或股本)132,583,724120,221,656100,184,714100,152,794
  资本公积1,091,694,386.3734,251,007.76753,409,727.41751,082,469.14
  其他综合收益--5,868,0605,868,060
  盈余公积49,195,943.449,195,943.444,076,784.6644,076,784.66
  未分配利润255,708,222.13255,858,328.42272,736,696.76256,129,238.03
  归属于母公司股东权益合计1,529,182,275.831,159,526,935.581,176,275,982.831,157,309,345.83
  少数股东权益41,244,667.1943,373,743.2136,865,658.0835,854,087.87
  股东权益合计1,570,426,943.021,202,900,678.791,213,141,640.911,193,163,433.7
  负债和股东权益合计2,372,433,693.141,964,475,672.041,898,278,906.371,793,657,818.57
公告日期2025-10-282025-08-232025-04-262025-04-12
审计意见(境内)标准无保留意见
TOP↑