600578 京能电力
2025/09 - 九个月
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14,800,63912.02%13,212,90712,912,23612,666,30211,626,348
投资性房地产0--0000
固定资产60,235,1554.78%57,484,81656,808,98047,684,31646,204,211
在建工程3,702,563-41.03%6,278,6014,072,4717,032,7854,607,059
无形资产2,748,439-1.81%2,799,0072,321,7322,089,6672,129,330
商誉7,4180.00%7,4187,4187,4187,418
其他非流动资产4,436,4113.51%4,285,8065,776,7333,901,6886,659,808
85,930,6262.21%84,068,55481,899,57173,382,17671,234,175

流动资产
货币资金4,792,15136.41%3,513,0184,655,2564,375,0914,002,211
应收账款4,134,137-13.62%4,785,8215,215,6574,400,5004,203,125
存货1,155,774-50.00%2,311,3241,389,4351,148,6981,570,889
其他流动资产2,209,836-2.01%2,255,0842,134,9621,406,1611,615,224
12,291,898-4.46%12,865,24613,395,31011,330,45011,391,449

流动负债
短期借款8,621,878-6.65%9,236,5389,752,6797,234,8097,105,826
应付票据683,303-33.60%1,029,0051,066,1711,430,2301,318,310
应付帐款6,921,6611.42%6,824,6566,723,5856,043,7565,960,558
其他流动负债6,440,538-21.21%8,174,2366,381,5158,404,41110,829,049
22,667,379-10.28%25,264,43623,923,95023,113,20625,213,744
流动资产净值(10,375,481)-16.32%(12,399,189)(10,528,640)(11,782,756)(13,822,295)
资产总额减流动负债75,555,1455.42%71,669,36571,370,93161,599,42157,411,880

非流动负债
长期借款27,684,741-0.69%27,877,84928,776,32425,532,16926,193,871
应付债券1,500,000--01,500,0001,500,000800,000
其他非流动负债8,884,2433.23%8,606,4967,091,7575,153,2414,136,906
38,068,9834.34%36,484,34537,368,08132,185,41031,130,777

总权益
    实收股本6,694,6210.00%6,694,6216,694,6216,693,7446,683,147
    储备项目23,567,0489.04%21,612,98621,384,90817,714,53514,908,038
股东权益30,261,6696.90%28,307,60728,079,52924,408,27921,591,185
非控股权益7,224,4935.05%6,877,4135,923,3215,005,7324,689,918