601991 大唐发电
2024/06 - 中期
人民币(K¥)
与去年末期
比较
2023/12
人民幣(K¥)
2022/12
人民幣(K¥)
2021/12
人民幣(K¥)
2020/12
人民幣(K¥)

非流动资产
长期股权投资21,373,0856.55%20,059,37519,739,73717,962,36717,844,237
投资性房地产521,488-2.67%535,805504,326500,315473,183
固定资产193,485,5560.09%193,314,479191,387,438188,618,329186,682,076
在建工程25,121,672-4.74%26,372,25424,857,02323,524,75723,361,158
无形资产3,888,821-12.67%4,453,2664,459,9204,164,9894,090,222
商誉642,802-15.75%762,979762,979762,979762,979
其他非流动资产20,391,56612.01%18,205,53520,331,60015,324,69113,407,316
265,424,9900.65%263,703,693262,043,023250,858,427246,621,171

流动资产
货币资金10,939,95221.33%9,016,67310,141,56311,273,6768,274,612
应收账款19,967,9961.78%19,619,04918,059,10718,360,96015,147,362
存货4,612,78626.91%3,634,6054,282,7566,244,6313,145,945
其他流动资产9,397,62117.11%8,024,89810,605,8159,779,9597,144,418
44,918,35511.47%40,295,22543,089,24145,659,22633,712,337

流动负债
短期借款29,838,7412.82%29,019,79337,431,02539,277,35329,040,022
应付票据509,635-44.00%910,0651,766,9121,672,2681,407,831
应付帐款20,020,613-8.15%21,797,35226,586,25225,990,15717,422,783
其他流动负债39,438,229-0.16%39,503,11436,644,74629,176,31231,149,593
89,807,218-1.56%91,230,324102,428,93596,116,09079,020,229
流动资产净值(44,888,863)-11.87%(50,935,099)(59,339,694)(50,456,864)(45,307,892)
资产总额减流动负债220,536,1273.65%212,768,594202,703,329200,401,563201,313,279

非流动负债
长期借款114,925,288-0.03%114,959,024108,721,962102,799,71092,151,095
应付债券2,790,000862.07%290,0006,484,7369,188,1055,982,740
其他非流动负债7,828,945-13.53%9,053,62011,192,29411,975,13911,786,888
125,544,2331.00%124,302,644126,398,992123,962,954109,920,723

总权益
    实收股本18,506,7110.00%18,506,71118,506,71118,506,71118,506,711
    储备项目60,972,96310.68%55,087,37344,102,48443,899,29254,517,319
股东权益79,479,6748.00%73,594,08462,609,19562,406,00373,024,030
非控股权益15,512,2204.31%14,871,86613,695,14214,032,60618,368,526