301358 湖南裕能
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32,2051.32%31,78629,75941,43337,205
投资性房地产0--0000
固定资产15,578,1684.41%14,920,60012,282,75410,733,0366,442,702
在建工程1,360,477-6.64%1,457,2471,224,803659,2321,034,583
无形资产1,163,612-0.54%1,169,969999,247896,176550,583
商誉180,2350.00%180,235180,235180,235180,235
其他非流动资产658,08338.50%475,141170,707108,756107,623
18,972,7814.05%18,234,97914,887,50512,618,8698,352,931

流动资产
货币资金6,732,767188.11%2,336,8371,491,3791,888,9011,045,292
应收账款9,580,88244.34%6,637,5365,359,2084,578,1066,392,913
存货5,112,10640.88%3,628,7172,798,3551,324,8534,971,413
其他流动资产8,872,5507.49%8,254,0865,805,6226,383,9155,671,883
30,298,30645.27%20,857,17615,454,56514,175,77618,081,501

流动负债
短期借款4,147,104-12.33%4,730,1862,454,604900,2292,466,112
应付票据6,370,82544.07%4,422,0084,131,8734,096,3373,862,369
应付帐款7,785,3298.80%7,155,9415,837,9175,260,6827,529,914
其他流动负债5,202,76226.59%4,110,0332,262,7462,211,7232,889,668
23,506,02015.12%20,418,16714,687,14012,468,97116,748,064
流动资产净值6,792,2861,447.19%439,009767,4241,706,8051,333,437
资产总额减流动负债25,765,06737.97%18,673,98715,654,92914,325,6749,686,368

非流动负债
长期借款6,230,06916.68%5,339,3473,755,8332,600,7793,271,443
应付债券0--0000
其他非流动负债431,75310.36%391,206238,554409,112700,460
6,661,82216.25%5,730,5533,994,3873,009,8913,971,903

总权益
    实收股本843,34010.85%760,803757,253757,253567,940
    储备项目18,194,71750.10%12,122,00110,848,92710,525,1705,146,043
股东权益19,038,05847.78%12,882,80311,606,18011,282,4235,713,983
非控股权益65,1877.51%60,63154,36233,360481