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山东路桥

(000498)

  

流通市值:84.70亿  总市值:90.69亿
流通股本:14.58亿   总股本:15.61亿

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8,353,830,925.877,111,421,501.097,251,286,560.979,053,732,619.99
应收票据及应收账款19,369,814,600.4519,180,672,175.2219,456,707,224.8116,867,889,754.47
其中:应收票据1,420,929,024.841,298,994,045.551,327,658,527.041,258,389,217.93
应收账款17,948,885,575.6117,881,678,129.6718,129,048,697.7715,609,500,536.54
预付款项1,938,353,545.911,413,621,470.42,523,307,774.021,964,728,014.89
其他应收款合计5,355,451,121.934,582,454,653.246,495,848,561.235,508,405,764.65
应收股利194,878,387.11193,347,664.9444,641,915.249,841,713.75
存货3,136,653,840.232,840,630,429.053,510,364,002.923,381,521,221.86
合同资产66,091,902,090.2869,212,322,657.0559,633,065,819.6358,716,355,953.36
一年内到期的非流动资产2,519,010,871.832,765,887,002.231,667,813,150.792,341,403,760.92
其他流动资产8,976,539,889.0110,016,302,220.928,976,291,025.289,325,490,679.92
流动资产平衡项目0000
流动资产合计115,741,556,885.51117,123,312,109.2109,514,684,119.65107,159,527,770.06
非流动资产:
债权投资1,744,012,239.361,744,012,239.361,782,402,154.821,703,585,154.82
长期应收款14,217,975,537.9613,722,088,778.4511,741,025,353.9310,946,636,325.88
长期股权投资8,828,155,433.048,484,343,747.078,762,208,423.477,907,571,844.7
其他权益工具投资292,957,770.38292,957,749.57243,932,733.34243,932,713.38
其他非流动金融资产7,506,227,265.577,198,732,155.176,262,200,034.735,647,584,075.1
投资性房地产314,261,123.78309,069,282.18322,932,412.83319,021,993.97
固定资产4,381,415,324.234,266,698,925.124,163,366,839.254,201,860,336.73
在建工程139,082,582.68102,450,374.8233,686,210.06231,948,787.96
使用权资产221,850,330.07247,612,966.46284,457,408.21256,718,967.8
无形资产7,213,920,229.987,262,745,955.476,357,199,117.386,374,382,437.26
开发支出32,985,092.6228,417,28246,907,754.5619,054,153.93
商誉286,801,348.95286,801,348.95286,801,348.95286,801,348.95
长期待摊费用328,052,397.25350,394,255.79306,697,278.55309,317,383.04
递延所得税资产814,149,427.63831,251,998.7685,501,971.13664,492,158.31
其他非流动资产1,175,367,903.731,135,103,997.37985,835,066.34804,346,539.27
非流动资产平衡项目0000
非流动资产合计47,497,214,007.2346,262,681,056.4642,465,154,107.5539,917,254,221.1
资产平衡项目0000
资产总计163,238,770,892.74163,385,993,165.66151,979,838,227.2147,076,781,991.16
流动负债:
短期借款9,712,573,700.948,884,186,069.439,707,288,926.298,689,436,790.34
应付票据及应付账款70,258,146,426.3174,409,474,542.1762,967,907,751.6363,628,297,929.9
其中:应付票据3,554,873,742.432,974,235,158.523,347,879,478.075,138,764,765.84
应付账款66,703,272,683.8871,435,239,383.6559,620,028,273.5658,489,533,164.06
预收款项4,046,513.95674,467.274,134,391.762,818,583.3
合同负债2,987,183,994.581,953,364,841.342,737,256,318.531,714,125,502.25
应付职工薪酬248,401,566.83372,608,262.25247,462,475.76258,860,312.53
应交税费595,906,433.47798,877,485.13462,418,179.78431,900,619.91
其他应付款合计7,061,515,537.886,623,214,584.967,326,460,021.236,204,257,732.96
应付股利86,419,488.33102,413,203.16101,045,224.6442,717,848.89
一年内到期的非流动负债1,298,701,636.462,375,984,342.32,040,822,275.431,402,460,100.5
其他流动负债6,536,180,232.797,775,911,444.317,323,147,488.78,352,916,104.88
流动负债平衡项目0000
流动负债合计98,702,656,043.21103,194,296,039.1692,816,897,829.1190,685,073,676.57
非流动负债:
长期借款17,617,522,442.5314,051,897,070.5214,314,299,878.7612,394,681,980.54
应付债券9,856,248,976.439,818,280,608.989,282,919,046.039,238,721,890.08
租赁负债99,410,148.191,664,394.75130,577,128.54128,550,916.97
长期应付款610,428,616.93521,595,197.88549,860,757.72536,394,697.11
长期应付职工薪酬21,677,807.8325,869,632.7710,344,742.5215,203,115.18
预计负债10,334,053.0610,764,150.2814,770,139.4416,238,838.04
递延收益59,651,215.0860,683,719.2661,716,223.4462,748,727.62
递延所得税负债228,831,596.71231,963,902.88227,220,966.43228,782,279.43
非流动负债平衡项目0000
非流动负债合计28,504,104,856.6724,812,718,677.3224,591,708,882.8822,621,322,444.97
负债平衡项目0000
负债合计127,206,760,899.88128,007,014,716.48117,408,606,711.99113,306,396,121.54
所有者权益(或股东权益):
实收资本(或股本)2,152,525,402.332,152,525,198.332,152,524,278.332,152,523,516.33
其他权益工具9,288,632,702.079,288,632,9639,288,634,137.179,288,635,115.67
永续债8,500,000,0008,500,000,0008,500,000,0008,500,000,000
资本公积208,480,371.13217,496,523.44194,459,444.29207,262,885.95
减:库存股49,908,898.2649,908,898.2649,908,898.2649,908,898.26
其他综合收益-4,170,876.79-9,967,048.77-12,203,245.08-959,523.01
专项储备418,173,215.82449,466,024.25282,119,587.72342,419,313.48
盈余公积504,318,840.57504,318,840.57364,680,047.02364,680,047.02
未分配利润11,903,013,992.3811,739,893,560.3211,176,954,526.0311,126,938,195
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24,421,064,749.2524,292,457,162.8823,397,259,877.2223,431,590,652.18
少数股东权益11,610,945,243.6111,086,521,286.311,173,971,637.9910,338,795,217.44
股东权益平衡项目0000
股东权益合计36,032,009,992.8635,378,978,449.1834,571,231,515.2133,770,385,869.62
负债和股东权益合计163,238,770,892.74163,385,993,165.66151,979,838,227.2147,076,781,991.16
公告日期2025-04-292025-04-152024-10-302024-08-29
审计意见(境内)标准无保留意见
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