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渝三峡A

(000565)

  

流通市值:37.46亿  总市值:37.46亿
流通股本:4.34亿   总股本:4.34亿

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280,192,860.95242,056,503.65270,353,509.16222,283,245.46
  应收票据及应收账款122,010,999.01112,345,573.1998,282,279.81137,726,369.72
  其中:应收票据5,974,990.6311,661,931.8514,211,396.0110,156,848.15
        应收账款116,036,008.38100,683,641.3484,070,883.8127,569,521.57
  应收款项融资17,114,898.6521,230,094.4831,265,521.679,147,285.63
  预付款项1,449,082.761,946,376.321,230,845.541,533,844.41
  其他应收款合计13,571,295.132,497,973.922,450,787.572,058,369.98
        应收股利9,900,000---
  存货95,407,447.8186,989,848.1977,148,648.2886,472,866.08
  其他流动资产519,185.55808,174.6636,265.2629,954.86
  流动资产合计530,265,769.86467,874,544.35481,367,857.29459,251,936.14
非流动资产:
  长期股权投资605,410,018.48623,292,265.12617,196,390.84602,867,364.11
  其他权益工具投资99,585,703.7698,463,860.3698,044,388.4896,893,279.6
  投资性房地产35,138,443.6923,389,562.3523,688,296.44-
  固定资产227,944,377.22236,909,582.46237,361,942.91262,433,475.52
  在建工程36,559,493.7116,135,5623,203,815.152,425,980.34
  无形资产24,367,180.6829,285,177.7929,482,756.7129,680,335.63
  递延所得税资产14,763,025.5514,931,302.0614,994,222.8414,275,719.74
  其他非流动资产15,000,00015,000,00015,000,00015,000,000
  非流动资产合计1,058,768,243.091,057,407,312.141,038,971,813.371,023,576,154.94
  资产总计1,589,034,012.951,525,281,856.491,520,339,670.661,482,828,091.08
流动负债:
  短期借款40,034,444.4440,037,888.8940,036,666.6740,036,666.67
  应付票据及应付账款92,160,328.4780,585,246.7375,211,629.2870,223,090.99
  其中:应付票据16,891,102.921,944,229.4720,025,272.3212,008,192.32
        应付账款75,269,225.5758,641,017.2655,186,356.9658,214,898.67
  预收款项--238,904.59-
  合同负债1,918,595.96652,059.63734,486.36726,934.42
  应付职工薪酬5,903,790.363,348,384.0811,286,249.897,656,142.76
  应交税费564,613.93436,975.681,185,117.213,052,029.75
  其他应付款合计16,530,403.039,330,763.168,388,861.588,965,115.41
        应付股利6,503,883.3---
  一年内到期的非流动负债30,848,923.3750,723,672.2348,706,333.3224,078,166.66
  其他流动负债249,417.4784,767.7786,572.8394,501.47
  流动负债合计188,210,517.03185,199,758.17185,874,821.73154,832,648.13
非流动负债:
  长期借款131,821,383.9476,476,00075,000,00060,000,000
  长期应付职工薪酬11,782,654.5611,987,554.5612,192,454.5611,758,582.24
  递延收益6,077,574.946,296,656.226,389,824.176,702,073.4
  非流动负债合计149,681,613.4494,760,210.7893,582,278.7378,460,655.64
  负债合计337,892,130.47279,959,968.95279,457,100.46233,293,303.77
所有者权益(或股东权益):
  实收资本(或股本)433,592,220433,592,220433,592,220433,592,220
  资本公积58,157,165.1460,228,750.1661,257,290.6660,808,048.72
  其他综合收益-1,602,827.47-2,556,394.36-2,912,945.46-3,222,508.67
  专项储备649,756.471,167,754.941,306,472.16-
  盈余公积154,358,349.92154,358,349.92154,358,349.92153,470,766.32
  未分配利润605,987,218.42598,531,206.88593,281,182.92604,886,260.94
  归属于母公司股东权益合计1,251,141,882.481,245,321,887.541,240,882,570.21,249,534,787.31
  股东权益合计1,251,141,882.481,245,321,887.541,240,882,570.21,249,534,787.31
  负债和股东权益合计1,589,034,012.951,525,281,856.491,520,339,670.661,482,828,091.08
公告日期2025-08-272025-04-252025-04-252024-10-30
审计意见(境内)标准无保留意见
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