000958 电投产融
2025/06 - 中期
人民币(K¥)
与去年末期
比较
2024/12
人民幣(K¥)
2023/12
人民幣(K¥)
2022/12
人民幣(K¥)
2021/12
人民幣(K¥)

非流动资产
长期股权投资3,289,141-0.74%3,313,7673,279,6713,076,0732,989,036
投资性房地产7,2400.00%7,24024,06916,79316,814
固定资产11,506,8060.62%11,436,31712,038,78212,696,97512,356,680
在建工程176,523-67.40%541,510385,419168,8251,231,063
无形资产258,990-0.70%260,823250,006234,050214,251
商誉546,1570.00%546,157546,157546,157546,157
其他非流动资产4,613,0785.30%4,380,8304,452,0564,013,0784,609,482
20,397,933-0.43%20,486,64420,976,16120,751,95021,963,482

流动资产
货币资金3,268,94430.13%2,512,1061,976,9763,142,3082,320,588
应收账款4,626,14312.55%4,110,3943,488,2842,876,0512,688,224
存货129,7621.36%128,021144,033128,628305,366
其他流动资产21,040,2772.16%20,594,52419,241,56719,290,84520,033,491
29,065,1276.29%27,345,04524,850,86025,437,83125,347,670

流动负债
短期借款1,291,84124.01%1,041,7381,156,2191,493,8932,184,155
应付票据2,820--012,13052,06750,000
应付帐款1,051,837-16.20%1,255,2471,517,8741,549,7191,697,457
其他流动负债7,327,298-7.52%7,923,0764,041,2924,787,9938,241,057
9,673,796-5.35%10,220,0626,727,5137,883,67312,172,669
流动资产净值19,391,33013.23%17,124,98318,123,34717,554,15813,175,001
资产总额减流动负债39,789,2645.79%37,611,62739,099,50838,306,10835,138,483

非流动负债
长期借款5,937,9565.39%5,634,4378,373,2108,754,0307,949,264
应付债券0--0000
其他非流动负债3,911,28778.75%2,188,1201,743,3811,548,3741,756,826
9,849,24325.91%7,822,55810,116,59110,302,4059,706,089

总权益
    实收股本5,383,4190.00%5,383,4195,383,4195,383,4195,383,419
    储备项目14,722,9660.80%14,606,24013,959,12113,073,19412,187,583
股东权益20,106,3840.58%19,989,65819,342,54018,456,61317,571,002
非控股权益9,833,6360.35%9,799,4119,640,3779,547,0917,861,392