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神州高铁

(000008)

  

流通市值:73.07亿  总市值:73.07亿
流通股本:27.16亿   总股本:27.16亿

资产负债表

报告期2026-03-312025-12-312025-09-302025-06-30
公司类型通用通用通用通用
流动资产:
  货币资金549,382,933.59755,582,004.18442,438,341.73505,904,307.59
  应收票据及应收账款2,093,282,723.112,251,573,421.551,949,236,514.11,857,665,872.49
  其中:应收票据91,893,424.26107,370,633.8105,377,214.1989,378,667.23
        应收账款2,001,389,298.852,144,202,787.751,843,859,299.911,768,287,205.26
  应收款项融资41,847,927.6753,169,403.7234,319,810.8630,764,080.14
  预付款项90,488,704.4568,938,737.75143,775,892235,795,258.37
  其他应收款合计60,603,069.5380,414,630.1382,166,703.5284,378,690.85
        应收股利600,747600,747600,748.13600,748.13
  存货636,789,296.37611,806,128.59762,861,896.57786,025,664.94
  合同资产189,390,264.66191,723,165.19209,742,028.28236,153,961.65
  其他流动资产77,243,952.0851,733,161.6859,875,426.4363,500,807.26
  流动资产合计3,739,028,871.464,064,940,652.793,684,416,613.493,800,188,643.29
非流动资产:
  长期应收款1,097,952.571,095,125.111,140,854.81,137,681.06
  长期股权投资1,064,985,526.971,050,692,491.661,236,135,835.061,224,570,685.26
  其他权益工具投资94,835,534.4694,835,534.4694,491,846.0395,293,748.13
  固定资产394,478,435.55404,864,370.98458,512,796.94462,861,396.73
  在建工程900,048,036.88898,374,759.34898,570,946.89897,529,923.82
  使用权资产162,709,901.42172,033,143.96161,256,304.49156,546,095.69
  无形资产110,560,122119,798,299.92138,979,820.65142,604,149.84
  开发支出---5,926,948.16
  商誉1,703,441,083.711,703,441,083.712,244,879,775.772,244,879,775.77
  长期待摊费用1,651,279.831,836,504.261,511,338.431,560,886.74
  递延所得税资产200,547,934.22203,213,264.02187,264,308.73188,961,506.59
  其他非流动资产2,983,599.342,983,599.343,087,255.863,112,238.46
  非流动资产合计4,637,339,406.954,653,168,176.765,425,831,083.655,424,985,036.25
  资产总计8,376,368,278.418,718,108,829.559,110,247,697.149,225,173,679.54
流动负债:
  短期借款1,164,418,826.951,158,727,987.741,433,624,410.511,521,225,837.71
  应付票据及应付账款1,214,201,981.221,366,413,821.421,193,255,000.711,252,830,613.58
  其中:应付票据57,189,697.4879,390,937.0259,474,479.6743,712,383.56
        应付账款1,157,012,283.741,287,022,884.41,133,780,521.041,209,118,230.02
  合同负债965,429,667.55918,586,196.16982,156,972.451,027,942,468.75
  应付职工薪酬93,827,752.1593,784,986.3941,314,173.0141,694,288.69
  应交税费16,234,140.4255,245,407.6716,153,839.619,194,157.43
  其他应付款合计52,786,353.4559,158,653.7649,764,047.0647,391,462.98
        应付股利20,741,819.4920,741,819.4920,741,819.4920,741,819.49
  一年内到期的非流动负债829,932,635.79637,002,322.53272,819,467.64270,975,525.77
  其他流动负债95,167,000.15144,883,489.96132,799,305.68100,177,942.6
  流动负债合计4,431,998,357.684,433,802,865.634,121,887,216.664,281,432,297.51
非流动负债:
  长期借款1,444,354,726.871,754,994,726.871,703,574,726.871,676,074,726.87
  租赁负债116,660,932.97120,300,338.32109,224,793.04100,024,477.06
  长期应付款20,807,701.8420,659,084.5522,138,819.3921,970,870.24
  预计负债47,551,045.5442,372,982.4371,303,072.9374,840,626.84
  递延收益9,993,086.3610,247,558.095,374,815.515,652,165.21
  递延所得税负债46,791,071.447,542,459.146,620,640.7245,519,020.28
  其他非流动负债10,890,748.310,890,748.310,703,79610,703,796
  非流动负债合计1,697,049,313.282,007,007,897.661,968,940,664.461,934,785,682.5
  负债合计6,129,047,670.966,440,810,763.296,090,827,881.126,216,217,980.01
所有者权益(或股东权益):
  实收资本(或股本)2,716,377,6832,716,377,6832,716,377,6832,716,377,683
  资本公积2,629,643,357.942,629,643,357.942,626,983,788.272,640,838,111.26
  其他综合收益-1,959,619.89-2,803,347.78-6,308,918.61-9,556,079.96
  专项储备38,121,017.1437,802,960.0139,046,630.0338,365,464.62
  盈余公积49,656,991.8349,656,991.8349,656,991.8349,656,991.83
  未分配利润-3,273,605,420.34-3,243,204,330.68-2,494,569,222.33-2,502,959,394.66
  归属于母公司股东权益合计2,158,234,009.682,187,473,314.322,931,186,952.192,932,722,776.09
  少数股东权益89,086,597.7789,824,751.9488,232,863.8376,232,923.44
  股东权益合计2,247,320,607.452,277,298,066.263,019,419,816.023,008,955,699.53
  负债和股东权益合计8,376,368,278.418,718,108,829.559,110,247,697.149,225,173,679.54
公告日期2026-04-302026-04-182025-10-272025-08-27
审计意见(境内)标准无保留意见
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