601868 中国能建
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55,522,7645.22%52,770,64846,548,80440,697,17538,302,746
投资性房地产1,083,41321.04%895,080784,644670,091637,191
固定资产81,685,62510.48%73,934,08757,580,22642,934,53439,586,551
在建工程44,291,65619.02%37,212,34025,484,57716,337,5247,802,025
无形资产102,659,6952.13%100,521,68582,464,20867,804,98468,110,054
商誉2,847,4668.48%2,624,8442,626,5442,198,2562,161,575
其他非流动资产159,149,5433.52%153,741,442141,597,220115,148,27662,326,629
447,240,1626.06%421,700,126357,086,223285,790,840218,926,771

流动资产
货币资金88,558,734-2.86%91,162,20877,288,54173,111,60458,299,098
应收账款99,084,40716.25%85,237,30578,218,26173,010,59256,955,906
存货83,086,33410.96%74,877,09567,957,77061,381,16058,609,378
其他流动资产220,765,42712.62%196,028,042202,605,398171,257,956136,071,435
491,494,9029.88%447,304,650426,069,970378,761,312309,935,817

流动负债
短期借款56,802,33341.33%40,192,54835,014,88725,549,58215,772,251
应付票据18,933,01912.73%16,795,08014,387,07714,947,38112,422,080
应付帐款199,891,6716.02%188,538,218203,325,386166,095,073124,576,834
其他流动负债208,115,7058.56%191,703,907164,281,200134,967,533117,750,744
483,742,72810.64%437,229,753417,008,550341,559,569270,521,909
流动资产净值7,752,174-23.05%10,074,8979,061,42037,201,74339,413,908
资产总额减流动负债454,992,3365.38%431,775,023366,147,643322,992,583258,340,679

非流动负债
长期借款209,786,2028.69%193,009,617157,944,145132,123,52784,618,293
应付债券18,398,21831.42%13,999,3191,500,0009,800,00011,292,484
其他非流动负债17,679,172-6.64%18,937,00818,450,61913,601,67212,695,902
245,863,5928.82%225,945,944177,894,764155,525,199108,606,679

总权益
    实收股本41,691,1640.00%41,691,16441,691,16441,691,16441,691,164
    储备项目76,299,6882.66%74,320,01768,773,57360,180,28852,507,516
股东权益117,990,8521.71%116,011,181110,464,737101,871,45294,198,680
非控股权益91,137,8921.47%89,817,89877,788,14265,595,93255,535,320