600011 华能国际
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25,212,5742.30%24,645,90122,685,48423,898,39722,951,903
投资性房地产575,694-2.67%591,512626,239632,565635,268
固定资产337,432,6712.72%328,511,290307,866,955289,311,617266,347,622
在建工程67,068,115-6.65%71,844,29757,790,31243,127,55450,120,054
无形资产18,970,0534.17%18,211,16615,681,75814,698,75714,188,941
商誉12,164,7465.57%11,523,42811,644,12211,519,29211,234,943
其他非流动资产36,015,8562.27%35,215,50634,120,25432,695,93432,396,817
497,439,7091.41%490,543,099450,415,123415,884,116397,875,548

流动资产
货币资金23,129,65216.04%19,932,03516,849,85817,175,57516,350,332
应收账款49,087,4353.01%47,653,27545,826,24839,862,08639,856,734
存货11,082,882-17.57%13,444,39411,899,33912,701,90816,824,431
其他流动资产13,871,917-9.16%15,269,95016,168,71416,982,29319,439,627
97,171,8850.91%96,299,65590,744,15886,721,86292,471,125

流动负债
短期借款58,020,993-5.14%61,165,90857,232,72983,573,49791,896,725
应付票据2,112,575-22.39%2,721,8993,514,2773,265,9223,150,277
应付帐款15,961,268-2.99%16,452,98919,048,63121,101,77122,623,962
其他流动负债94,291,663-4.17%98,397,27084,203,71863,392,15668,727,338
170,386,499-4.67%178,738,066163,999,354171,333,346186,398,301
流动资产净值(73,214,613)-11.19%(82,438,412)(73,255,196)(84,611,484)(93,927,176)
资产总额减流动负债424,225,0953.95%408,104,688377,159,927331,272,632303,948,372

非流动负债
长期借款151,966,4820.09%151,827,548162,347,839151,677,526136,857,717
应付债券43,515,55116.83%37,248,23528,038,37439,062,04729,396,919
其他非流动负债17,774,83611.22%15,981,07815,411,15213,989,00813,523,544
213,256,8704.00%205,056,861205,797,365204,728,581179,778,180

总权益
    实收股本15,698,0930.00%15,698,09315,698,09315,698,09315,698,093
    储备项目126,352,4413.81%121,716,691116,440,57092,837,38589,836,838
股东权益142,050,5343.37%137,414,785132,138,664108,535,478105,534,931
非控股权益68,917,6915.00%65,633,04239,223,89818,008,57318,635,260