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神火股份:三季报财务报表

公告日期:2020-10-23

神火股份:三季报财务报表 PDF查看PDF原文

                      资  产  负  债  表

编制单位:河南神火煤电股份有限公司                2020年9月30日                                            单位:(RMB)元

                                                        期末余额                                    年初余额

            资        产

                                                合并                母公司                合并                母公司

 流动资产:

 货币资金                                  11,960,952,990.35      4,280,677,954.43      10,376,321,405.24      4,069,599,025.38

 交易性金融资产                                        -                      -                      -                      -

 衍生金融资产                                          -                      -                      -                      -

 应收票据                                                -                      -                      -                      -

 应收账款                                    938,366,561.95        172,496,143.49        995,310,278.31        466,536,440.34

 应收款项融资                                687,071,778.38      2,056,818,245.19        932,065,095.53      3,347,037,875.31

 预付款项                                    838,581,491.09          64,139,971.02        634,770,111.65          26,677,268.56

 其他应收款                                  414,881,373.42      4,810,195,545.44        180,099,517.19      4,391,851,225.60

   其中:应收利息                                    -                      -                      -                      -

      应收股利                        145,548,000.00        182,398,000.00                  -            20,100,000.00

 存货                                        2,614,940,567.02        332,570,129.78      2,142,220,099.78        330,726,464.69

 合同资产                                                -                      -                      -                      -

 持有待售资产                                          -                      -                      -                      -

 一年内到期的非流动资产                      138,000,000.00                  -          112,500,000.00                  -

 其他流动资产                              1,165,036,650.79        313,142,404.83      1,079,325,711.63        295,807,108.46

  流动资产合计                            18,757,831,413.00      12,030,040,394.18      16,452,612,219.33      12,928,235,408.34

非流动资产:                                            -                      -                      -                      -

 委托贷款                                                -                      -                      -                      -

 可供出售金融资产                                      -                      -                      -                      -

 债权投资                                                -                      -                      -                      -

 其他债权投资                                          -                      -                      -                      -

 长期应收款                                  171,533,489.89                  -          204,777,793.69                  -

 长期股权投资                              3,275,073,368.56      13,850,448,243.17      2,984,140,077.35      12,871,316,893.77

 其他权益工具投资                            97,654,085.27          1,000,000.00          97,654,085.27          1,000,000.00

 其他非流动金融资产                                    -                      -                      -                      -

 投资性房地产                                  44,093,446.86          12,883,569.99          40,532,149.93                  -

 固定资产                                  17,805,927,099.50      2,782,505,638.58      16,776,388,265.67      3,081,717,968.69

 在建工程                                  7,164,226,638.87          69,291,962.44      6,654,553,061.64          9,807,408.56

 生产性生物资产                                        -                      -                      -                      -

 使用权资产                                              -                      -                      -                      -

 无形资产                                  4,908,594,343.92        285,060,735.79      5,018,542,316.60        295,420,902.61

 开发支出                                                -                      -                      -                      -

 商誉                                                    -                      -                      -                      -

 长期待摊费用                              1,149,813,598.09        191,916,276.70      1,036,247,498.69        211,773,304.54

 递延所得税资产                            1,401,423,912.46                  -        1,405,487,951.72                  -

 其他非流动资产                            2,927,724,804.27      1,757,015,000.00      2,641,468,510.74      1,757,015,000.00

  非流动资产合计                          38,946,064,787.69      18,950,121,426.67      36,859,791,711.30      18,228,051,478.17

              资产总计            
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