000767 晋控电力
2026/03 -
人民币(K¥)
与去年末期
比较
2025/12
人民幣(K¥)
2024/12
人民幣(K¥)
2023/12
人民幣(K¥)
2022/12
人民幣(K¥)

非流动资产
长期股权投资3,742,7302.44%3,653,4382,972,8862,653,4792,424,595
投资性房地产0--0000
固定资产30,181,996-1.57%30,664,43932,032,33733,822,50533,847,912
在建工程2,040,0161.26%2,014,6354,096,5542,149,1482,263,279
无形资产1,735,184-1.00%1,752,7491,890,4161,750,2681,760,181
商誉11,4700.00%11,47011,47015,77115,771
其他非流动资产770,710-0.75%776,526897,3181,063,1562,167,360
38,482,106-1.01%38,873,25741,900,98141,454,32742,479,098

流动资产
货币资金4,589,5147.74%4,259,9483,697,0126,947,8009,794,173
应收账款8,621,2453.95%8,293,2689,024,7608,455,4206,836,307
存货1,365,185-20.83%1,724,4761,767,3261,415,9781,373,283
其他流动资产1,348,502-13.90%1,566,1922,169,2482,240,9092,521,871
15,924,4460.51%15,843,88316,658,34619,060,10620,525,634

流动负债
短期借款3,625,5272.89%3,523,7573,029,2944,163,3956,173,613
应付票据230,000-61.67%600,0001,414,7181,692,9605,573,794
应付帐款3,396,402-21.30%4,315,8405,801,6437,566,9758,116,759
其他流动负债8,196,450-13.76%9,504,5098,343,39810,375,0508,343,364
15,448,378-13.91%17,944,10618,589,05323,798,38028,207,530
流动资产净值476,068-122.67%(2,100,223)(1,930,707)(4,738,274)(7,681,896)
资产总额减流动负债38,958,1745.94%36,773,03439,970,27436,716,05334,797,203

非流动负债
长期借款25,219,8788.70%23,201,84725,560,88821,891,76318,228,201
应付债券0--0001,021,486
其他非流动负债3,540,2724.88%3,375,6873,654,8154,015,9024,803,209
28,760,1508.21%26,577,53329,215,70325,907,66424,052,896

总权益
    实收股本3,076,9420.00%3,076,9423,076,9423,076,9423,076,942
    储备项目7,937,3820.06%7,932,6438,323,8178,041,0157,675,141
股东权益11,014,3240.04%11,009,58511,400,75911,117,95810,752,084
非控股权益(816,300)0.27%(814,085)(646,189)(309,569)(7,777)