当前位置:首页 - 行情中心 - 华控赛格(000068) - 财务分析 - 资产负债表

华控赛格

(000068)

  

流通市值:32.11亿  总市值:32.11亿
流通股本:10.07亿   总股本:10.07亿

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40,584,937.4880,059,552.2101,056,217.99181,949,396.63
  应收票据及应收账款314,579,712.48379,767,875.08421,292,280.06430,399,869.6
  其中:应收票据5,437,271.5911,664,996.53787,333.561,780,124.99
        应收账款309,142,440.89368,102,878.55420,504,946.5428,619,744.61
  应收款项融资04,934,414.160-
  预付款项5,126,065.473,835,853.369,015,463.0912,817,744.97
  其他应收款合计351,196,940.3351,715,374.55332,794,558.24333,193,710.15
  其中:应收利息000-
        应收股利000-
  存货29,610,246.3529,687,565.159,367,358.9545,885,667.85
  合同资产306,658,617.6304,953,806.49384,962,914.93426,382,538.36
  一年内到期的非流动资产98,952,014.3498,087,364.7829,720,384.0728,395,888.54
  其他流动资产98,028,094.398,803,237.7692,972,217.45112,366,826.64
  流动资产合计1,244,736,628.321,351,845,043.481,431,181,394.781,571,391,642.74
非流动资产:
  长期应收款772,655,718.34764,463,016.0122,478,855.4322,463,658.37
  长期股权投资3,088,706.893,113,104.462,943,110.572,991,559.22
  其他权益工具投资116,203,081.21116,203,081.21116,203,081.21116,203,081.21
  固定资产54,272,362.7955,577,088.6557,152,799.258,708,268.21
  在建工程5,239,152.935,239,152.938,379,976.778,379,976.77
  使用权资产6,397,768.847,366,603.579,672,950.998,940,129.22
  无形资产111,517,903.57112,956,175.27114,421,374.88110,709,492.62
  开发支出6,155,019.746,155,019.745,924,931.2411,303,292.48
  长期待摊费用978,088.921,151,268.211,370,901.391,683,627.26
  递延所得税资产58,354,918.9358,727,727.2658,944,882.2458,875,189.47
  其他非流动资产1,326,075,891.931,321,487,784.912,193,312,376.92,205,042,613.9
  非流动资产合计2,460,938,614.092,452,440,022.222,590,805,240.822,605,300,888.73
  资产总计3,705,675,242.413,804,285,065.74,021,986,635.64,176,692,531.47
流动负债:
  短期借款56,449,517.7554,688,966.454,690,021.9722,310,104.77
  应付票据及应付账款1,010,678,961.181,085,312,873.621,065,924,018.471,091,998,649.69
  其中:应付票据010,000,00010,000,0005,000,000
        应付账款1,010,678,961.181,075,312,873.621,055,924,018.471,086,998,649.69
  合同负债19,547,565.8621,649,074.5952,023,804.2855,926,992.94
  应付职工薪酬35,310,294.4639,298,660.0632,823,687.7838,615,176.77
  应交税费35,190,084.7137,116,788.4727,179,156.3524,971,173.63
  其他应付款合计313,537,455.09313,033,344.9329,760,234.5466,851,159.03
  一年内到期的非流动负债129,842,702.13131,232,829.92136,743,988.64136,065,923.55
  其他流动负债12,033,413.7422,682,029.199,487,844.1817,938,315.72
  流动负债合计1,612,589,994.921,705,014,567.151,708,632,756.171,854,677,496.1
非流动负债:
  长期借款548,789,295538,789,295595,549,940.5595,549,940.5
  租赁负债2,826,481.033,600,783.65,271,649.454,822,859.33
  长期应付款402,968,720.79402,968,720.79563,898,720.79563,898,720.79
  预计负债50,190,609.0650,190,609.0650,000,00050,000,000
  递延收益2,847,523.093,113,947.153,195,067.873,276,188.59
  递延所得税负债97,203,356.0197,268,645.7897,333,935.5497,122,485.48
  非流动负债合计1,104,825,984.981,095,932,001.381,315,249,314.151,314,670,194.69
  负债合计2,717,415,979.92,800,946,568.533,023,882,070.323,169,347,690.79
所有者权益(或股东权益):
  实收资本(或股本)1,006,671,4641,006,671,4641,006,671,4641,006,671,464
  资本公积1,188,683,102.891,188,683,102.891,188,683,102.891,188,883,009.42
  盈余公积157,709,529.79157,709,529.79157,709,529.79157,709,529.79
  未分配利润-1,767,699,605.87-1,749,534,370.33-1,745,087,626.88-1,733,799,200.72
  归属于母公司股东权益合计585,364,490.81603,529,726.35607,976,469.8619,464,802.49
  少数股东权益402,894,771.7399,808,770.82390,128,095.48387,880,038.19
  股东权益合计988,259,262.511,003,338,497.17998,104,565.281,007,344,840.68
  负债和股东权益合计3,705,675,242.413,804,285,065.74,021,986,635.64,176,692,531.47
公告日期2026-04-282026-03-262025-10-302025-08-29
审计意见(境内)标准无保留意见
TOP↑