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申能股份

(600642)

  

流通市值:386.42亿  总市值:387.61亿
流通股本:48.79亿   总股本:48.94亿

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15,046,069,879.9615,182,385,309.5113,956,020,867.6114,455,942,032.76
  应收票据及应收账款10,088,417,811.7110,060,142,935.59,973,789,738.379,556,203,370.66
  其中:应收票据4,880,0009,423,767.2322,681,655.5617,354,755.28
        应收账款10,083,537,811.7110,050,719,168.279,951,108,082.819,538,848,615.38
  预付款项263,273,438.14314,286,371.13249,514,663.3517,202,110.94
  其他应收款合计109,580,538.89207,073,324.61233,301,259.16116,406,117.02
        应收股利44,004,533.01148,104,533.01148,104,533.0134,878,151.53
  存货825,923,553.77879,260,816.351,186,704,564.31929,449,978.12
  其他流动资产1,897,071,195.831,842,751,465.711,882,703,624.941,546,092,888.18
  流动资产合计28,230,336,418.328,485,900,222.8127,482,034,717.6927,121,296,497.68
非流动资产:
  长期股权投资10,204,950,059.799,717,044,152.859,378,706,221.229,692,005,347.74
  其他非流动金融资产7,457,861,929.547,398,181,273.927,228,777,640.547,225,824,294.1
  固定资产45,915,907,591.8545,453,839,438.446,293,044,765.9644,372,749,495.41
  在建工程7,544,195,417.587,115,278,508.025,961,119,995.595,630,244,482.69
  油气资产630,482,779.53663,448,010.38696,448,241.2730,289,218.48
  使用权资产3,854,271,347.543,703,895,8783,753,624,487.123,637,468,234.66
  无形资产436,592,509436,410,465.44438,751,507.03433,837,544.92
  长期待摊费用111,430,753.95113,466,184.48114,794,047.65116,873,492.85
  递延所得税资产185,686,330.99178,346,700.81179,909,190.09147,554,156.83
  其他非流动资产138,521,097.52138,521,097.52138,521,097.52138,521,097.52
  非流动资产合计76,479,899,817.2974,918,431,709.8274,183,697,193.9272,125,367,365.2
  资产总计104,710,236,235.59103,404,331,932.63101,665,731,911.6199,246,663,862.88
流动负债:
  短期借款7,790,792,595.927,780,263,740.88,048,783,923.296,589,007,704.3
  应付票据及应付账款6,878,821,901.286,595,064,969.226,971,182,996.076,650,376,689.58
        应付账款6,878,821,901.286,595,064,969.226,971,182,996.076,650,376,689.58
  合同负债375,397,690.44383,364,696.49325,143,533.49166,181,662.35
  应付职工薪酬135,197,819.08174,222,555.66339,941,026.1969,310,718.67
  应交税费349,137,202.75389,170,243.7320,095,434.73365,314,343.58
  其他应付款合计2,573,263,110.67372,682,267.05391,072,151.15372,603,508.32
        应付股利2,251,605,148.8125,878,654.2140,463,311.7427,208,517.23
  一年内到期的非流动负债1,853,545,278.632,409,080,788.044,223,270,378.943,814,588,241.59
  其他流动负债7,259,113,662.977,208,428,826.216,450,852,848.16,423,682,147.85
  流动负债合计27,215,269,261.7425,312,278,087.1727,070,342,291.9624,451,065,016.24
非流动负债:
  长期借款20,240,139,999.5120,572,417,641.2220,758,370,047.7221,920,123,385.43
  应付债券1,900,000,0001,900,000,0001,000,000,0001,000,000,000
  租赁负债5,041,959,755.714,427,605,532.154,211,155,745.193,829,979,399.06
  长期应付款1,147,300,778.481,210,909,216.11,213,914,271.121,212,609,568.43
  预计负债777,874,243.84772,594,243.84767,314,243.84762,167,852.89
  递延收益100,506,317.1478,850,981.7871,498,453.6372,425,793.14
  递延所得税负债697,150,396.25676,958,069.24635,731,827.5578,019,869.81
  其他非流动负债12,749,076.1812,769,363.8712,789,427.62-
  非流动负债合计29,917,680,567.1129,652,105,048.228,670,774,016.6229,375,325,868.76
  负债合计57,132,949,828.8554,964,383,135.3755,741,116,308.5853,826,390,885
所有者权益(或股东权益):
  实收资本(或股本)4,894,094,6764,894,094,6764,894,094,6764,894,094,676
  其他权益工具3,400,000,0003,405,089,150.682,200,000,0002,200,000,000
  永续债3,400,000,0003,405,089,150.682,200,000,0002,200,000,000
  资本公积4,786,628,468.144,772,784,321.754,755,922,029.624,781,556,563.7
  减:库存股25,705,447.532,479,82432,479,82432,479,824
  其他综合收益71,040,072.8971,026,066.2672,686,806.8666,045,098.4
  专项储备276,760,095.2262,932,470.97226,981,459.35284,658,883.13
  盈余公积15,556,939,855.4115,556,939,855.4115,556,939,855.4115,333,524,414.89
  未分配利润9,930,199,249.511,085,039,453.2710,091,940,637.659,664,591,717.39
  归属于母公司股东权益合计38,889,956,969.6440,015,426,170.3437,766,085,640.8937,191,991,529.51
  少数股东权益8,687,329,437.18,424,522,626.928,158,529,962.148,228,281,448.37
  股东权益合计47,577,286,406.7448,439,948,797.2645,924,615,603.0345,420,272,977.88
  负债和股东权益合计104,710,236,235.59103,404,331,932.63101,665,731,911.6199,246,663,862.88
公告日期2025-08-302025-04-302025-04-302024-10-31
审计意见(境内)标准无保留意见
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