002015 协鑫能科
2026/06 - 中期
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1,973,6495.53%1,870,1892,393,7312,906,8912,527,583
投资性房地产47,894-1.52%48,63550,11751,60053,082
固定资产16,782,814-3.08%17,315,74518,164,25613,138,62113,472,347
在建工程2,478,26029.52%1,913,3691,926,8812,526,4111,406,353
无形资产2,648,0804.25%2,540,2002,663,8602,539,2961,793,717
商誉21,7390.00%21,73919,52219,52215,523
其他非流动资产3,620,3452.53%3,530,8833,272,3023,239,8213,588,367
27,572,7811.22%27,240,76028,490,66924,422,16222,856,972

流动资产
货币资金5,034,3139.86%4,582,4244,150,8463,204,9973,942,726
应收账款4,404,8795.10%4,190,9524,858,3924,209,6773,579,388
存货350,8270.88%347,770640,428412,217400,967
其他流动资产2,222,494-1.10%2,247,1982,318,5751,716,1691,583,930
12,012,5145.67%11,368,34411,968,2419,543,0609,507,011

流动负债
短期借款3,133,116-14.11%3,647,7063,955,8083,164,3872,474,569
应付票据0-100.00%2,493124,86478,49061,991
应付帐款510,1024.61%487,6131,049,759994,037741,601
其他流动负债5,954,842-15.83%7,075,1677,239,3535,442,2954,972,022
9,598,060-14.40%11,212,97912,369,7859,679,2108,250,183
流动资产净值2,414,4541,454.05%155,365(401,544)(136,149)1,256,828
资产总额减流动负债29,987,2349.46%27,396,12528,089,12524,286,01324,113,799

非流动负债
长期借款10,102,79623.69%8,168,1468,596,0826,183,2356,679,294
应付债券0--0000
其他非流动负债5,460,659-2.33%5,590,9856,029,2494,354,5164,738,198
15,563,45413.11%13,759,13114,625,33110,537,75011,417,491

总权益
    实收股本1,623,3250.00%1,623,3251,623,3251,623,3251,623,325
    储备项目10,748,3395.50%10,188,32810,115,68810,234,4029,223,349
股东权益12,371,6644.74%11,811,65311,739,01211,857,72710,846,674
非控股权益2,052,11612.42%1,825,3411,724,7811,890,5361,849,634