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华映科技

(000536)

  

流通市值:132.08亿  总市值:132.22亿
流通股本:27.63亿   总股本:27.66亿

资产负债表

报告期2025-09-302025-06-302025-03-312024-12-31
公司类型通用通用通用通用
流动资产:
  货币资金667,674,804.51299,126,229.3300,556,776.52500,257,095.23
  应收票据及应收账款39,017,409.6337,995,572.5556,592,738.5880,946,640.91
        应收账款39,017,409.6337,995,572.5556,592,738.5880,946,640.91
  应收款项融资27,188,171.2213,421,331.272,491,115.6711,243,930.33
  预付款项17,274,410.2215,358,807.7528,833,210.5312,395,171.12
  其他应收款合计50,827,698.2450,379,392.9150,196,019.5649,911,236.77
  存货158,247,326.88155,611,946.98204,191,787.98202,499,544.78
  其他流动资产13,961,355.8113,361,361.1214,893,196.0717,892,228.24
  流动资产合计974,191,176.51585,254,641.88657,754,844.91875,145,847.38
非流动资产:
  长期股权投资90,999,303.99101,788,437.48107,346,521.09118,407,090.77
  其他权益工具投资40,096,305.0441,377,502.5343,413,107.2843,370,182.08
  固定资产3,870,695,530.594,055,869,594.84,237,862,988.454,417,883,219.4
  在建工程117,377,756.88117,348,750.68118,691,857.74118,381,183.06
  使用权资产1,314,420.741,616,866.461,919,312.192,787,132.95
  无形资产287,179,900.3290,228,697.89293,280,315.21296,332,445.23
  开发支出7,796,906.176,911,555.196,096,189.143,685,113.94
  长期待摊费用12,788,468.6714,600,854.4614,103,136.7517,225,449.04
  其他非流动资产106,001106,001106,001106,001
  非流动资产合计4,428,354,593.384,629,848,260.494,822,819,428.855,018,177,817.47
  资产总计5,402,545,769.895,215,102,902.375,480,574,273.765,893,323,664.85
流动负债:
  短期借款1,314,086,729.711,073,632,375.531,079,720,888.291,228,283,500.11
  应付票据及应付账款612,096,867.15612,974,743.22645,434,166685,266,428.87
  其中:应付票据136,295,448.1871,959,911.9852,176,787.52153,215,353.24
        应付账款475,801,418.97541,014,831.24593,257,378.48532,051,075.63
  预收款项30,944.4962,185.7198,464.9821,316.22
  合同负债98,308,592.1271,257,444.6175,395,251.6769,775,736.1
  应付职工薪酬36,430,027.334,746,504.6153,204,120.650,117,776.14
  应交税费8,505,450.3512,193,346.747,814,364.8615,893,051.34
  其他应付款合计162,615,020.3158,279,623.87162,139,698.44158,892,031.61
        应付股利67,599,045.1867,599,045.1867,599,045.1867,599,045.18
  一年内到期的非流动负债1,358,551,389.121,087,397,283.331,101,726,171.03996,974,181.24
  其他流动负债10,668,495.87,141,159.23172,969,776.65105,340,583.33
  流动负债合计3,601,293,516.343,057,684,666.843,398,502,902.523,310,564,604.96
非流动负债:
  长期借款-185,000,000185,000,000335,000,000
  租赁负债509,675.41666,425.96817,456.37966,629.29
  长期应付款1,183,581,860.111,106,684,917.71785,088,782.29899,038,694.63
  预计负债8,576,877.348,576,877.348,576,877.3410,094,501.29
  递延收益19,855,812.5120,888,288.3721,992,928.2422,953,240.09
  非流动负债合计1,212,524,225.371,321,816,509.381,001,476,044.241,268,053,065.3
  负债合计4,813,817,741.714,379,501,176.224,399,978,946.764,578,617,670.26
所有者权益(或股东权益):
  实收资本(或股本)2,766,032,8032,766,032,8032,766,032,8032,766,032,803
  资本公积8,594,516,510.118,594,516,510.118,594,516,510.118,594,516,510.11
  其他综合收益-17,750,029.52-16,371,667.03-15,180,664.7-14,327,201.79
  盈余公积579,982,557.57579,982,557.57579,982,557.57579,982,557.57
  未分配利润-11,350,863,500.4-11,105,639,079.49-10,862,140,998.68-10,629,161,617.72
  归属于母公司股东权益合计571,918,340.76818,521,124.161,063,210,207.31,297,043,051.17
  少数股东权益16,809,687.4217,080,601.9917,385,119.717,662,943.42
  股东权益合计588,728,028.18835,601,726.151,080,595,3271,314,705,994.59
  负债和股东权益合计5,402,545,769.895,215,102,902.375,480,574,273.765,893,323,664.85
公告日期2025-10-212025-08-152025-04-222025-04-15
审计意见(境内)标准无保留意见
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