001896 豫能控股
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904,6421.83%888,354919,653376,257414,555
投资性房地产7,832-3.00%8,0748,5599,86510,652
固定资产17,401,889-3.30%17,994,97518,530,52019,202,55519,670,462
在建工程4,613,04817.79%3,916,2452,955,5461,255,225387,282
无形资产2,002,006-1.27%2,027,8431,722,8591,286,242932,630
商誉0--0000
其他非流动资产1,452,715-1.65%1,477,0571,176,006920,646973,448
26,382,1310.26%26,312,54925,313,14223,050,79022,389,030

流动资产
货币资金1,540,01414.06%1,350,2171,291,3193,061,2931,846,072
应收账款1,632,526-10.31%1,820,2622,744,3451,761,3201,769,016
存货699,759-30.18%1,002,179793,9991,174,7831,376,996
其他流动资产970,156-14.30%1,131,9941,507,9211,758,7811,398,957
4,842,454-8.71%5,304,6516,337,5857,756,1776,391,042

流动负债
短期借款4,166,13412.09%3,716,8284,284,6043,380,8352,618,589
应付票据635,315-5.91%675,2111,309,5191,412,3231,529,971
应付帐款1,301,677-7.66%1,409,6362,154,1142,409,9382,196,832
其他流动负债5,318,567-15.91%6,325,0534,901,9124,176,4903,403,587
11,421,692-5.81%12,126,72812,650,14811,379,5869,748,979
流动资产净值(6,579,238)-3.56%(6,822,077)(6,312,563)(3,623,409)(3,357,938)
资产总额减流动负债19,802,8931.60%19,490,47119,000,58019,427,38119,031,092

非流动负债
长期借款15,223,0353.37%14,726,94413,500,14412,623,69710,260,906
应付债券0--0000
其他非流动负债940,201-27.18%1,291,1081,928,9682,766,0123,173,754
16,163,2360.91%16,018,05215,429,11115,389,70913,434,660

总权益
    实收股本1,525,7810.00%1,525,7811,525,7811,525,7811,355,588
    储备项目1,716,4388.57%1,580,9801,685,9182,233,6043,724,965
股东权益3,242,2204.36%3,106,7613,211,7003,759,3865,080,552
非控股权益397,4388.69%365,658359,769278,286515,880