当前位置:首页 - 行情中心 - 铜陵有色(000630) - 财务分析 - 资产负债表

铜陵有色

(000630)

  

流通市值:650.75亿  总市值:783.11亿
流通股本:111.43亿   总股本:134.09亿

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7,695,363,558.499,253,049,927.899,588,018,023.856,891,370,118.92
  交易性金融资产402,245,787.67451,206,175.8-651,148,150.66
  衍生金融资产359,814,880.94127,256,483.8979,345,770265,088,326.48
  应收票据及应收账款4,138,454,000.585,035,682,788.133,885,661,041.843,856,833,946.34
  其中:应收票据1,465,169,329.631,475,463,150.811,090,946,430.641,358,082,732.58
        应收账款2,673,284,670.953,560,219,637.322,794,714,611.22,498,751,213.76
  应收款项融资865,294,712.02904,158,8511,171,984,411.25842,338,011.84
  预付款项8,668,945,330.228,286,132,413.557,821,827,298.148,660,240,388.43
  其他应收款合计1,464,562,642.561,480,674,861.61,556,664,487.131,356,756,813.56
  存货27,099,427,680.8923,503,924,544.8421,310,414,820.1618,622,766,021.71
  其他流动资产1,278,152,859.911,274,102,839.771,077,210,011.18725,291,377.1
  流动资产合计51,972,261,453.2850,316,188,886.4746,491,125,863.5541,871,833,155.04
非流动资产:
  长期股权投资970,556,905.03993,856,982.71979,805,770.38968,212,405.94
  其他权益工具投资140,390,809.44161,164,506.85168,694,270.12297,347,089.62
  投资性房地产3,524,597.233,629,646.853,648,368.593,731,681.29
  固定资产26,997,149,949.2823,470,273,315.0624,154,209,798.0524,698,284,357.17
  在建工程5,054,946,219.118,558,561,483.736,451,194,374.085,065,397,293.35
  使用权资产17,638,318.6719,371,528.7421,168,101.0623,034,927.64
  无形资产4,654,888,923.354,981,028,778.944,946,246,042.564,997,606,429.24
  递延所得税资产894,468,597.38879,054,570.61,023,211,322.02912,669,593.87
  其他非流动资产1,196,341,881.681,452,420,681.141,761,857,895.242,106,374,763.79
  非流动资产合计39,929,906,201.1740,519,361,494.6239,510,035,942.139,072,658,541.91
  资产总计91,902,167,654.4590,835,550,381.0986,001,161,805.6580,944,491,696.95
流动负债:
  短期借款13,411,422,266.5711,250,446,468.727,967,367,975.587,287,419,570.73
  衍生金融负债208,301,513.6876,116,849.8149,378,597.68109,091,677.49
  应付票据及应付账款12,266,615,422.110,242,807,533.8110,444,202,254.627,889,119,468.29
  其中:应付票据935,957,518.461,027,492,656.11,332,972,968.821,054,647,509.91
        应付账款11,330,657,903.649,215,314,877.719,111,229,285.86,834,471,958.38
  合同负债1,108,521,097.52385,889,090.24877,548,485.02434,698,762.33
  应付职工薪酬611,266,163.12545,245,041.55597,562,121.17614,683,604.7
  应交税费1,948,121,722.592,638,907,400.31,281,826,440.331,423,388,886.39
  其他应付款合计883,957,882.25942,435,738.58737,706,061.761,145,585,670.04
  一年内到期的非流动负债1,852,234,562.513,446,352,152.634,751,039,868.114,834,031,429.22
  其他流动负债108,288,893.3238,040,717.2568,122,153.719,376,055.14
  流动负债合计32,398,729,523.6629,566,240,992.8826,874,753,957.9723,757,395,124.33
非流动负债:
  长期借款13,210,907,527.5515,602,957,714.8911,364,198,508.0810,617,175,107.38
  应付债券-2,017,769,341.152,001,481,798.011,988,902,362.21
  租赁负债18,417,932.1418,713,225.0523,892,783.3124,180,778.32
  长期应付款197,890,191.07196,347,482.99134,935,335.44133,581,473.84
  长期应付职工薪酬45,252,133.2743,254,239.7842,013,296.4839,835,276.35
  预计负债1,163,178,777.51,164,193,101.21,160,468,257.661,159,785,265.94
  递延收益683,147,419.46690,505,085.46699,960,682.09686,073,583.4
  递延所得税负债239,555,098.8241,949,436.54253,845,543.53280,812,685.81
  非流动负债合计15,558,349,079.7919,975,689,627.0615,680,796,204.614,930,346,533.25
  负债合计47,957,078,603.4549,541,930,619.9442,555,550,162.5738,687,741,657.58
所有者权益(或股东权益):
  实收资本(或股本)13,409,471,51012,794,132,82412,794,132,82412,792,920,401
  其他权益工具-210,411,390.1210,411,390.1210,804,413.61
  资本公积6,862,076,512.285,432,993,396.275,432,993,396.275,430,074,265.22
  减:库存股23,038,529.85116,330,609.7977,472,790.9729,368,208.9
  其他综合收益289,399,099.67312,837,525.53297,866,707.61532,824,316.61
  专项储备344,714,585.89339,248,698.35330,006,008.64300,936,330.7
  盈余公积1,773,828,136.841,773,828,136.841,773,828,136.841,773,828,136.84
  未分配利润13,465,294,359.1213,117,351,861.6814,107,211,689.7812,876,495,013.96
  归属于母公司股东权益合计36,121,745,673.9533,864,473,222.9834,868,977,362.2733,888,514,669.04
  少数股东权益7,823,343,377.057,429,146,538.178,576,634,280.818,368,235,370.33
  股东权益合计43,945,089,05141,293,619,761.1543,445,611,643.0842,256,750,039.37
  负债和股东权益合计91,902,167,654.4590,835,550,381.0986,001,161,805.6580,944,491,696.95
公告日期2025-10-282025-08-182025-04-292025-04-23
审计意见(境内)标准无保留意见
TOP↑