潜能恒信300191资产负债表 |
3726 ℃ |
当前股价:13.65,市值:44
亿,动态市盈率PE:-60.34,
合理估值PE:15,未来三年预期收益率:-141.58%。 其中,历史营业增长率:14.6%,净利增长率:0%; 未来三年预估净利增长率:0% (24E:--%, 25E:--%, 26E:--%)。 |
2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | |
---|---|---|---|---|---|---|---|---|---|---|
货币资金(万) | 28713.12 | 60027.94 | 45793.69 | 44620.72 | 38056.05 | 48930.64 | 45430.17 | 74271.33 | 89560.11 | 85237.28 |
交易性金融资产(万) | - | - | - | - | - | - | - | - | - | - |
应收票据(万) | 20 | - | 1074.52 | - | - | 496.74 | 400 | 790 | 818.29 | 474.5 |
应收账款(万) | 7491.8 | 4959.82 | 4599.87 | 8432.03 | 16920.72 | 4935.77 | 4882.87 | 9889.87 | 4478.41 | 12185.73 |
预付款项(万) | 120.34 | 79.88 | 142.54 | 157.82 | 80.56 | 83.81 | 92.17 | 3.25 | 13 | 13.64 |
应收利息(万) | - | - | - | 1.27 | - | 189.82 | 69.03 | 196.98 | 397.05 | 402.93 |
应收股利(万) | - | - | - | - | - | - | - | 19.63 | - | - |
其他应收款(万) | 68.83 | 222.34 | 104.81 | 91.56 | 144.83 | 528.14 | 391.84 | 18.72 | 44.35 | 135.74 |
存货(万) | 616.94 | 692.11 | 355.39 | 88.29 | 141.21 | - | - | - | - | - |
一年内到期的非流动资产(万) | - | - | - | 1923.11 | 3903.64 | 3064.49 | - | - | - | - |
其他流动资产(万) | 11965.14 | 6308.39 | 7622.22 | 15146.93 | 19848.03 | 34425.68 | 30514.47 | 315.15 | 175.84 | 404.55 |
流动资产合计(万) | 48996.18 | 72290.49 | 59707.78 | 70783.77 | 79095.05 | 92655.08 | 81780.55 | 85504.93 | 95487.04 | 98854.36 |
长期应收款(万) | - | - | - | - | 983.91 | 204.48 | - | - | - | - |
长期股权投资(万) | - | 105.83 | 15069.38 | 15243.48 | 15276.7 | - | - | 3752.98 | - | - |
投资性房地产(万) | - | 784.34 | 1134.59 | 1242.14 | 1349.69 | 1457.25 | - | - | - | - |
固定资产净额(万) | 9674.62 | 10587.93 | 12467.14 | 15130.91 | 18289.97 | 16635.75 | 16345.71 | 16204.16 | 16825.87 | 17661.1 |
在建工程(万) | 99266.02 | 70867.55 | 40035.58 | 22740.3 | 22703.75 | 22305.57 | 16506.65 | 16595.36 | 6174.38 | 38.82 |
工程物资(万) | 348.18 | 832.23 | 662.04 | - | - | - | - | - | - | - |
油气资产(万) | 66159.54 | 41366.34 | 27242.01 | 23145.25 | 35568.4 | 738.84 | 6417.45 | - | - | - |
无形资产(万) | 352.4 | 748.81 | 1365.46 | 2080.69 | 2797.57 | 3449.94 | 4107.37 | 4857.34 | 6707.33 | 6123.7 |
开发支出(万) | 566.18 | 566.18 | 566.18 | 506.77 | 505.26 | 505.26 | 505.26 | 505.26 | 419.88 | 1286.7 |
长期待摊费用(万) | - | 3.57 | 22.18 | 41.42 | 60.67 | 79.91 | 99.15 | 118.4 | 140.44 | 161.22 |
递延所得税资产(万) | 435.49 | 371.47 | 437.4 | 719.78 | 284.15 | 162.08 | 156.08 | 316.01 | 100.16 | 154.01 |
其他非流动资产(万) | 38.45 | 78.03 | 843.67 | 2846.33 | 27.2 | 1810.28 | 1106.4 | - | - | - |
非流动资产合计(万) | 177140.27 | 126753.76 | 100207.5 | 83697.06 | 97847.28 | 47349.35 | 45244.06 | 42349.5 | 30368.06 | 25425.54 |
资产总计(万) | 226136.45 | 199044.25 | 159915.29 | 154480.83 | 176942.33 | 140004.43 | 127024.62 | 127854.43 | 125855.1 | 124279.9 |
短期借款(万) | 14796.67 | 6812.08 | 6449.01 | 450.69 | 5000 | - | - | - | - | - |
应付票据(万) | - | 1075.47 | 4000 | - | - | - | - | - | - | - |
应付账款(万) | 35768.44 | 21359.54 | 8865.48 | 3275.49 | 12009.5 | 7363.3 | 5755.63 | 9264.26 | 7327.07 | 914.65 |
预收款项(万) | - | - | 28.8 | 28.8 | - | - | 36 | - | - | - |
应付职工薪酬(万) | 482.32 | 522.09 | 536.61 | 577.24 | 508.5 | 417.34 | 311.53 | 311.75 | 97.97 | 67.21 |
应交税费(万) | 3378.34 | 2077.84 | 1436.07 | 1446.06 | 956.65 | 1339.95 | 83.75 | 199.25 | 436.26 | 232.4 |
应付利息(万) | - | - | - | - | 7.88 | - | - | - | - | - |
应付股利(万) | - | - | - | - | - | 6.12 | 75.8 | - | - | - |
其他应付款(万) | 746.7 | 987.73 | 353.19 | 1468.21 | 987.32 | 577.62 | 324.36 | 23.17 | 17.06 | 46.48 |
一年内到期的非流动负债(万) | 19824.7 | 11128.05 | 154.91 | - | 266.32 | 1058.08 | 13.71 | - | - | - |
其他流动负债(万) | 4.47 | 4.47 | 977.2 | 2.68 | - | - | - | - | - | - |
流动负债合计(万) | 75076.17 | 44041.79 | 22845.99 | 7293.89 | 19736.16 | 10762.41 | 6600.78 | 9798.44 | 7878.36 | 1260.73 |
长期借款(万) | 22168.8 | 12034.89 | - | - | 2441.67 | 2595.49 | 1006.07 | - | - | - |
专项应付款(万) | - | - | - | - | - | - | - | - | - | - |
预计非流动负债(万) | 5743.24 | 5844.54 | 5611.4 | 5420.46 | 7426.06 | - | - | - | 990 | 990 |
递延所得税负债(万) | 3044.5 | 3482.86 | 2800.21 | 2006.97 | 1463.94 | 292.83 | - | - | - | - |
长期递延收益(万) | 186.22 | 206.22 | 206.22 | 206.22 | 206.22 | 206.22 | 244.35 | 262.47 | 300.6 | 338.72 |
其他非流动负债(万) | 6611.86 | 6611.86 | 5000 | 19000 | 25000 | - | - | - | - | - |
非流动负债合计(万) | 37838.85 | 28379.13 | 13805.1 | 26633.65 | 36537.89 | 3094.54 | 1250.41 | 262.47 | 1290.6 | 1328.72 |
负债合计(万) | 112915.02 | 72420.92 | 36651.09 | 33927.54 | 56274.05 | 13856.95 | 7851.19 | 10060.91 | 9168.96 | 2589.45 |
实收资本(或股本)(万) | 32000 | 32000 | 32000 | 32000 | 32000 | 32000 | 32000 | 32000 | 32000 | 32000 |
资本公积(万) | 54950.81 | 54950.81 | 54950.81 | 54950.81 | 54950.81 | 54950.81 | 54950.81 | 54950.81 | 54950.81 | 55003.84 |
其他综合收益(万) | -131.41 | -162.46 | -164.84 | -55.29 | 532.05 | 315.6 | 7.75 | 317.61 | 24.81 | -84.8 |
盈余公积(万) | 8517.91 | 8511.11 | 8511.11 | 8511.11 | 8338.2 | 7567.44 | 7293.92 | 7226.77 | 7045.75 | 6865.28 |
未分配利润(万) | 17699.74 | 31169.26 | 27703.6 | 24915.24 | 24679.78 | 23472.7 | 21166.38 | 23231.4 | 22596.08 | 27866.7 |
归属于母公司股东权益合计(万) | 113037.06 | 126468.72 | 123000.68 | 120321.87 | 120500.84 | 118306.55 | 115418.86 | 117726.59 | 116617.45 | 121651.02 |
少数股东权益(万) | 184.38 | 154.61 | 263.52 | 231.42 | 167.44 | 7840.93 | 3754.56 | 66.93 | 68.69 | 39.43 |
所有者权益(或股东权益)合计(万) | 113221.44 | 126623.33 | 123264.19 | 120553.29 | 120668.28 | 126147.48 | 119173.42 | 117793.52 | 116686.15 | 121690.45 |
负债和所有者权益(或股东权益)总计(万) | 226136.45 | 199044.25 | 159915.29 | 154480.83 | 176942.33 | 140004.43 | 127024.62 | 127854.43 | 125855.1 | 124279.9 |
应收票据及应收账款(万) | 7511.8 | 4959.82 | 5674.39 | 8432.03 | 16920.72 | - | - | - | - | - |
其他应收款(合计)(万) | 68.83 | 222.34 | 104.81 | 92.83 | 144.83 | - | - | - | - | - |
在建工程(合计)(万) | 99614.2 | 71699.78 | 40697.63 | 22740.3 | 22703.75 | - | - | - | - | - |
固定资产及清理(合计)(万) | 9674.62 | 10587.93 | 12467.14 | 15130.91 | 18289.97 | - | - | - | - | - |
使用权资产(万) | 236.92 | 441.5 | 361.87 | - | - | - | - | - | - | - |
应付票据及应付账款(万) | 35768.44 | 22435.01 | 12865.48 | 3275.49 | 12009.5 | - | - | - | - | - |
其他应付款(合计)(万) | 746.7 | 987.73 | 353.19 | 1468.21 | 995.19 | - | - | - | - | - |
租赁负债(万) | 84.24 | 198.77 | 187.27 | - | - | - | - | - | - | - |
长期应付款(合计)(万) | - | - | - | - | - | - | - | - | - | - |