当前位置:首页 - 行情中心 - 华天酒店(000428) - 财务分析 - 资产负债表

华天酒店

(000428)

  

流通市值:37.29亿  总市值:37.29亿
流通股本:10.19亿   总股本:10.19亿

资产负债表

报告期2025-06-302025-03-312024-12-312024-09-30
公司类型通用通用通用通用
流动资产:
  货币资金86,650,800.07156,567,401.73143,568,557.5123,536,352.26
  应收票据及应收账款39,820,917.8233,000,822.0425,106,469.0949,956,829.69
        应收账款39,820,917.8233,000,822.0425,106,469.0949,956,829.69
  预付款项10,540,889.419,041,122.4511,485,263.3814,764,296.28
  其他应收款合计269,888,297.12269,614,132.69301,904,605.55299,875,269.51
  存货468,948,052.72468,938,070.06468,952,680.27469,758,391.74
  其他流动资产8,336,985.628,654,757.668,274,856.939,681,032.45
  流动资产合计884,185,942.76945,816,306.63959,292,432.72967,572,171.93
非流动资产:
  长期股权投资426,509,463.72429,981,161.19433,561,941.79437,470,737.99
  其他权益工具投资67,334,145.9966,512,794.0866,512,794.0866,739,585.12
  投资性房地产283,696,345283,696,345283,696,345279,376,948
  固定资产1,947,986,392.371,968,373,004.721,989,680,951.952,009,053,181.73
  在建工程298,343,627.53298,304,620.39298,256,147.04297,916,875.69
  使用权资产163,093,899.04185,017,144.2201,660,186.45202,036,801.14
  无形资产330,124,236.61333,238,395.43336,302,446.14339,419,118.69
  长期待摊费用51,588,722.4454,748,015.6356,610,266.4455,403,086.82
  其他非流动资产1,592,939.271,681,956.751,588,306.713,588,048.34
  非流动资产合计3,570,269,771.973,621,553,437.393,667,869,385.63,691,004,383.52
  资产总计4,454,455,714.734,567,369,744.024,627,161,818.324,658,576,555.45
流动负债:
  短期借款1,572,589,294.11,537,303,7231,474,931,438.441,424,563,520.22
  应付票据及应付账款47,902,319.5155,642,805.3451,879,517.5361,034,635.07
        应付账款47,902,319.5155,642,805.3451,879,517.5361,034,635.07
  预收款项2,442,311.434,107,927.844,882,552.974,200,611.62
  合同负债43,249,517.247,169,817.6250,205,091.8349,984,174.96
  应付职工薪酬11,540,865.5412,632,173.3318,220,268.4216,426,478.86
  应交税费2,476,805.285,068,355.875,618,196.76,324,884.41
  其他应付款合计1,179,374,398.791,189,905,880.141,215,494,944.341,189,820,043.41
        应付股利7,620,0007,620,0007,620,0007,620,000
  一年内到期的非流动负债128,634,405.36342,029,352.8346,324,592.3339,552,778.12
  其他流动负债12,576,481.9911,031,141.345,904,633.9513,650,193.22
  流动负债合计3,000,786,399.23,204,891,177.283,173,461,236.483,105,557,319.89
非流动负债:
  长期借款362,629,000207,100,000207,100,000208,000,000
  租赁负债58,131,807.0567,447,250.1580,337,05191,689,062.8
  预计负债---787,477.14
  递延收益--31,576.42144,819.62
  递延所得税负债122,347,690.33123,178,676.89124,215,001.42124,043,519.48
  非流动负债合计543,108,497.38397,725,927.04411,683,628.84424,664,879.04
  负债合计3,543,894,896.583,602,617,104.323,585,144,865.323,530,222,198.93
所有者权益(或股东权益):
  实收资本(或股本)1,018,926,0001,018,926,0001,018,926,0001,018,926,000
  资本公积1,452,046,237.71,452,046,237.71,452,046,237.71,452,046,237.7
  其他综合收益61,509,396.2660,893,382.3360,893,382.3365,592,076.18
  盈余公积86,112,693.0386,112,693.0386,112,693.0386,112,693.03
  未分配利润-1,174,684,489.54-1,131,370,938.96-1,067,982,680.8-998,303,938.37
  归属于母公司股东权益合计1,443,909,837.451,486,607,374.11,549,995,632.261,624,373,068.54
  少数股东权益-533,349,019.3-521,854,734.4-507,978,679.26-496,018,712.02
  股东权益合计910,560,818.15964,752,639.71,042,016,9531,128,354,356.52
  负债和股东权益合计4,454,455,714.734,567,369,744.024,627,161,818.324,658,576,555.45
公告日期2025-08-262025-04-232025-04-232024-10-31
审计意见(境内)标准无保留意见
TOP↑