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徐工机械

(000425)

  

流通市值:681.37亿  总市值:993.69亿
流通股本:80.64亿   总股本:117.60亿

资产负债表

报告期2025-03-312024-12-312024-09-302024-06-30
公司类型通用通用通用通用
流动资产:
货币资金23,197,156,081.4920,205,080,632.3721,333,023,911.1722,005,925,232.42
衍生金融资产26,901,976.7414,266,759.7742,044,309.69,412,698.61
应收票据及应收账款48,204,890,278.5842,388,020,505.2946,924,308,701.9949,778,443,143.99
其中:应收票据2,629,328,488.822,611,852,490.82,666,470,909.63,784,084,501.5
应收账款45,575,561,789.7639,776,168,014.4944,257,837,792.3945,994,358,642.49
应收款项融资3,025,235,865.312,590,563,655.412,652,631,524.022,375,113,687.48
预付款项2,716,028,198.981,939,842,928.892,323,976,629.962,136,193,475.84
其他应收款合计3,317,962,312.532,971,607,667.682,971,820,812.662,900,280,557.38
应收股利122,089,391.14124,480,341.13199,464,300.75134,128,679.93
存货31,573,797,360.932,543,459,789.6231,380,752,052.9930,217,459,033.6
合同资产210,728,286.2681,268,486.4883,590,435.5772,352,542.87
一年内到期的非流动资产1,354,301,035.881,729,108,705.082,325,161,093.82,366,408,476.86
其他流动资产3,161,302,392.313,584,578,971.713,287,868,938.042,850,932,061.03
流动资产平衡项目0000
流动资产合计116,928,122,185.47108,087,430,370.05113,366,703,879.45114,750,078,624
非流动资产:
发放委托贷款及垫款925,913,654.11988,817,503.381,201,544,731.691,074,722,766.18
长期应收款6,277,642,305.894,739,053,972.024,652,578,984.84,640,202,348.79
长期股权投资3,957,017,765.533,903,864,130.974,630,659,356.324,604,566,374.86
其他权益工具投资3,033,519,617.683,062,025,508.413,456,904,613.843,471,093,684.45
其他非流动金融资产102,119,871.18103,990,000104,198,806.99136,981,405.1
投资性房地产4,155,712.114,231,728.274,307,744.434,383,760.59
固定资产24,297,819,440.1824,431,435,392.1423,671,463,016.0122,990,706,882.49
在建工程2,168,334,235.052,017,674,968.342,081,798,600.442,786,534,090.82
使用权资产448,699,308.75292,314,682.46144,791,429.14128,092,617.78
无形资产8,471,545,825.538,622,529,271.067,111,376,795.557,129,886,578.38
开发支出1,347,443,877.84958,421,120.571,782,522,312.81,237,374,992.45
长期待摊费用65,595,546.5972,376,097.597,615,447.16111,024,480.43
递延所得税资产3,326,466,547.923,353,905,059.043,331,028,542.582,994,910,949.33
其他非流动资产395,871,100.02331,741,805.21332,225,551.48347,704,513.86
非流动资产平衡项目0000
非流动资产合计54,822,144,808.3852,882,381,239.3752,603,015,933.2351,658,185,445.51
资产平衡项目0000
资产总计171,750,266,993.85160,969,811,609.42165,969,719,812.68166,408,264,069.51
流动负债:
短期借款13,894,610,582.3113,685,563,657.9713,604,596,586.0912,592,693,699.27
拆入资金1,116,264,130.31442,327,336.38528,654,461.49384,183,168.19
衍生金融负债19,812,600.3286,977,859.515,116,718.4821,129.24
应付票据及应付账款45,069,932,296.7141,365,977,870.4944,180,721,068.9446,199,624,711.33
其中:应付票据19,304,413,015.119,141,840,727.422,099,915,984.8223,935,333,122.61
应付账款25,765,519,281.6122,224,137,143.0922,080,805,084.1222,264,291,588.72
合同负债5,098,543,894.014,922,815,645.064,429,038,008.523,495,856,679.04
应付职工薪酬358,897,580.32416,509,256.81365,170,977.32402,938,304.72
应交税费1,158,650,347.11861,969,650.85803,578,035.83689,451,541.82
其他应付款合计5,593,379,509.055,568,664,577.774,753,652,167.246,429,577,473.95
应付股利18,368,914.6812,888,679.6512,888,679.6512,888,679.65
一年内到期的非流动负债13,161,876,026.2611,517,154,818.1515,626,022,173.6215,965,905,725.02
其他流动负债820,784,645.31927,096,484.19922,679,978.691,729,135,235.53
流动负债平衡项目0000
流动负债合计86,292,751,611.7179,795,057,157.1885,219,230,176.2287,889,387,668.11
非流动负债:
长期借款14,632,409,103.5212,634,533,215.4112,747,957,036.0811,599,919,248.05
应付债券5,197,071,251.25,196,791,251.214,698,582,917.871,998,382,917.86
租赁负债449,957,628.74271,957,927.73121,947,628.25105,808,175.52
长期应付款421,349,971.81615,462,778.161,074,078,054.621,688,949,644.05
预计负债574,485,729.73505,972,937.44409,699,756.14412,154,756.24
递延收益507,570,586.18553,175,193.21523,019,425.07551,590,281.05
递延所得税负债769,125,177.04648,466,752.92759,644,036.95611,048,685.52
其他非流动负债337,418,407.9286,651,343.06400,615,228.91437,562,623.28
非流动负债平衡项目0000
非流动负债合计22,889,387,856.1220,713,011,399.1420,735,544,083.8917,405,416,331.57
负债平衡项目0000
负债合计109,182,139,467.83100,508,068,556.32105,954,774,260.11105,294,803,999.68
所有者权益(或股东权益):
实收资本(或股本)11,816,166,09311,816,166,09311,816,166,09311,816,166,093
资本公积16,402,253,418.3716,367,186,168.3716,405,297,429.0116,462,315,021.72
减:库存股737,085,256.91737,085,256.91664,077,926.76364,120,077.22
其他综合收益-269,273,794.01-325,902,008.89-286,731,275.53-256,803,434.07
专项储备87,790,799.9280,770,131.82151,404,720.71137,433,604.22
盈余公积2,732,985,276.842,732,985,276.842,425,940,729.292,425,940,729.29
未分配利润31,397,107,373.3829,374,617,671.0228,989,443,080.6329,502,975,225.39
归属于母公司股东权益平衡项目0000
归属于母公司股东权益合计61,429,943,910.5959,308,738,075.2558,837,442,850.3559,723,907,162.33
少数股东权益1,138,183,615.431,153,004,977.851,177,502,702.221,389,552,907.5
股东权益平衡项目0000
股东权益合计62,568,127,526.0260,461,743,053.160,014,945,552.5761,113,460,069.83
负债和股东权益合计171,750,266,993.85160,969,811,609.42165,969,719,812.68166,408,264,069.51
公告日期2025-04-292025-04-292024-10-312024-08-29
审计意见(境内)标准无保留意见
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