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山推股份

(000680)

  

流通市值:117.80亿  总市值:134.43亿
流通股本:13.15亿   总股本:15.00亿

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3,877,259,521.954,572,610,420.384,215,874,672.083,914,366,168.95
应收票据及应收账款5,311,040,029.544,710,996,522.114,240,010,855.474,179,771,051.94
其中:应收票据-255,000--
应收账款5,311,040,029.544,710,741,522.114,240,010,855.474,179,771,051.94
应收款项融资546,732,857.26284,023,207.86430,354,539.17377,117,639.5
预付款项441,834,158.67402,901,972.76405,969,205.72350,519,679.89
其他应收款合计450,148,300.99450,678,678.72195,780,932.5153,205,456.46
应收股利1,230,996.861,230,996.861,230,996.861,230,996.86
存货3,014,547,683.473,200,095,156.32,428,638,867.952,127,648,518.78
合同资产35,206,341.7734,495,389.2534,348,612.0232,125,845.35
一年内到期的非流动资产163,540,705.06215,163,442.35228,812,756.91223,517,653.24
其他流动资产90,847,906.29134,541,299.83128,982,589.29132,911,624.63
流动资产平衡项目0000
流动资产合计13,931,157,50514,005,506,089.5612,359,080,839.7411,491,183,638.74
非流动资产:
长期应收款236,542,375.21279,396,887.63157,964,564.81100,655,774.37
长期股权投资809,824,968.76549,684,567.16511,501,874.98529,180,448.86
其他权益工具投资18,003,063.2318,003,063.2318,003,063.2318,003,063.23
投资性房地产471,680,830.32477,254,366.89482,349,634.32487,935,055.87
固定资产2,051,647,429.042,039,648,424.321,463,719,710.721,374,603,979.97
在建工程187,711,870.87138,665,996.34194,941,650.87204,152,035.06
使用权资产8,883,947.399,268,624.124,618,221.423,179,147.13
无形资产517,883,824.8523,283,957.41406,434,659.1405,998,211.11
商誉11,589,632.8911,589,632.8911,589,632.8911,589,632.89
长期待摊费用2,356,962.942,248,387.28--
递延所得税资产232,671,911.61233,946,911.61153,012,558.91149,712,558.91
非流动资产平衡项目0000
非流动资产合计4,548,796,817.064,282,990,818.883,404,135,571.253,285,009,907.4
资产平衡项目0000
资产总计18,479,954,322.0618,288,496,908.4415,763,216,410.9914,776,193,546.14
流动负债:
短期借款1,153,810,636.1804,320,550.45610,418,082.19610,000,000
衍生金融负债---1,476,954.83
应付票据及应付账款8,444,998,509.798,806,020,582.737,621,611,417.126,845,280,852.13
其中:应付票据5,800,763,911.066,174,734,713.135,076,519,028.334,701,398,251.99
应付账款2,644,234,598.732,631,285,869.62,545,092,388.792,143,882,600.14
预收款项2,849,328.3919,481.85--
合同负债359,534,959.67333,589,698.17323,071,033.97401,861,585.95
应付职工薪酬149,966,347.66160,167,130.0850,884,036.3860,840,219.18
应交税费118,209,892.18109,728,233.25125,392,639.4694,488,242.64
其他应付款合计468,533,159.55528,623,048.41267,777,129.06265,156,281.32
应付股利2,856,414.8347,437,941.962,480,048.42,480,048.4
一年内到期的非流动负债6,079,244.9341,360,804.45852,153.22462,261.83
其他流动负债9,467,831.686,387,713.127,736,928.7710,989,061.57
流动负债平衡项目0000
流动负债合计10,713,449,909.8610,791,117,242.519,007,743,420.178,290,555,459.45
非流动负债:
长期借款1,446,000,0001,448,950,000150,100,000150,000,000
租赁负债7,923,524.036,825,425.443,803,663.692,916,183.4
长期应付款15,198,178.0815,198,178.0815,198,178.0815,198,178.08
长期应付职工薪酬78,031,439.9675,899,041.5190,205,239.1589,244,905
预计负债234,467,765.07242,366,271.9149,002,307.4139,293,437.93
递延收益168,472,558.6163,637,165.58101,419,707.4398,387,245.25
递延所得税负债8,996,364.229,055,259.114,558,507.6214,617,402.51
非流动负债平衡项目0000
非流动负债合计1,959,089,829.961,961,931,341.62424,287,603.38409,657,352.17
负债平衡项目0000
负债合计12,672,539,739.8212,753,048,584.139,432,031,023.558,700,212,811.62
所有者权益(或股东权益):
实收资本(或股本)1,500,327,4121,500,327,4121,500,327,4121,500,327,412
资本公积557,797,670.13562,182,786.591,549,790,849.891,548,903,717.05
减:库存股13,887,22513,887,22513,887,22513,887,225
其他综合收益-45,142,519.53-43,332,727.09-61,198,071.81-55,946,551.5
专项储备47,492,032.1342,705,119.1825,221,286.2422,790,651.54
盈余公积531,029,093.79531,029,093.79415,806,208.86415,806,208.86
未分配利润2,934,054,299.22,661,404,359.932,619,156,648.262,363,447,745.33
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5,511,670,762.725,240,428,819.46,035,217,108.445,781,441,958.28
少数股东权益295,743,819.52295,019,504.91295,968,279294,538,776.24
股东权益平衡项目0000
股东权益合计5,807,414,582.245,535,448,324.316,331,185,387.446,075,980,734.52
负债和股东权益合计18,479,954,322.0618,288,496,908.4415,763,216,410.9914,776,193,546.14
公告日期2025-04-302025-04-232024-10-312024-08-23
审计意见(境内)标准无保留意见
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