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启迪环境

(000826)

  

流通市值:33.21亿  总市值:33.21亿
流通股本:14.25亿   总股本:14.25亿

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735,952,681.57749,104,498.7804,538,919.71599,699,853.13
  交易性金融资产2,375,450.642,337,136.922,056,169.648,681,053.28
  应收票据及应收账款4,415,833,001.034,289,325,187.34,254,139,576.634,397,153,167.44
        应收账款4,415,833,001.034,289,325,187.34,254,139,576.634,397,153,167.44
  应收款项融资122,000222,000431,900283,000
  预付款项78,475,686.977,560,149.1576,991,355.2873,520,115.29
  其他应收款合计583,889,413.04519,734,342.47537,972,747.55660,436,486.81
  存货225,384,555.87231,337,200.05234,732,404.41348,379,214.29
  合同资产38,145,134.8632,404,021.233,162,650.0740,083,938.87
  其他流动资产428,095,616.64478,945,893.27484,112,002.57519,999,210.94
  流动资产合计6,508,273,540.556,380,970,429.066,428,137,725.866,648,236,040.05
非流动资产:
  长期应收款46,086,954.8456,086,954.8457,086,954.84193,067,539.87
  长期股权投资177,935,530.23170,624,637.68171,046,398.14214,176,599.31
  其他权益工具投资173,233,805.99107,423,805.99107,423,805.99112,233,556.32
  固定资产1,440,350,912.361,537,019,324.61,590,309,623.761,766,557,911.63
  在建工程625,021,578.67622,192,692.63613,696,186.95803,904,212.77
  无形资产7,292,735,849.448,740,299,553.278,891,087,723.039,423,131,296.13
  商誉187,499,234.96206,145,920.26206,145,920.26224,786,408.87
  长期待摊费用32,002,742.2133,443,532.336,352,204.8929,606,704.13
  递延所得税资产459,035,771.32451,102,898.76449,246,235.65619,778,557.22
  其他非流动资产2,160,659,663.612,175,813,068.842,171,334,330.372,531,397,490.16
  非流动资产合计12,594,562,043.6314,100,152,389.1714,293,729,383.8815,918,640,276.41
  资产总计19,102,835,584.1820,481,122,818.2320,721,867,109.7422,566,876,316.46
流动负债:
  短期借款2,635,775,256.12,602,979,722.362,564,550,218.092,529,261,550.27
  应付票据及应付账款3,018,482,298.043,085,697,661.353,219,023,137.593,086,114,951.17
        应付账款3,018,482,298.043,085,697,661.353,219,023,137.593,086,114,951.17
  预收款项465,075.38295,589.25228,229.911,745,118.02
  合同负债101,456,874.4596,681,520.0394,663,637.15145,840,398.11
  应付职工薪酬144,551,463.73174,687,736.88212,418,041.94189,399,254.58
  应交税费124,293,519.32145,684,973.13160,323,573.8143,317,260.88
  其他应付款合计2,276,051,423.052,402,376,624.742,139,056,830.381,978,584,210.24
        应付股利40,453,015.1841,413,015.1844,481,309.7150,789,876.41
  一年内到期的非流动负债1,326,355,663.071,330,027,208.481,439,126,000.631,167,976,173.35
  其他流动负债43,618,288.1947,837,325.6348,448,134.5244,555,080.14
  流动负债合计9,671,049,861.339,886,268,361.859,877,837,804.019,286,793,996.76
非流动负债:
  长期借款3,612,494,466.784,318,394,856.544,385,164,5584,816,358,492.4
  应付债券130,591,972.59129,141,369.85127,587,945.2126,000,000
  长期应付款92,319,866.55120,923,995.64139,214,655.92176,950,918.37
  预计负债446,335,765.63444,062,405.14441,561,512.06288,680,359.71
  递延收益150,161,207.12202,958,919.47185,403,063.78189,501,212.9
  递延所得税负债51,725,345.8552,639,454.9853,553,564.1253,756,955.54
  其他非流动负债635,000,000625,000,000615,000,000605,000,000
  非流动负债合计5,118,628,624.525,893,121,001.625,947,485,299.086,256,247,938.92
  负债合计14,789,678,485.8515,779,389,363.4715,825,323,103.0915,543,041,935.68
所有者权益(或股东权益):
  实收资本(或股本)1,425,353,2481,425,353,2481,425,353,2481,425,353,248
  其他权益工具1,495,500,0001,495,500,0001,495,500,0001,495,500,000
  永续债1,495,500,0001,495,500,0001,495,500,0001,495,500,000
  资本公积6,515,930,975.896,516,342,093.916,516,342,093.916,532,478,226.7
  其他综合收益6,755,955.396,756,514.546,756,082.177,500,457.37
  专项储备545,499.28706,900.66392,227.32681,356.16
  盈余公积565,781,054.36565,781,054.36565,781,054.36565,781,054.36
  未分配利润-8,216,098,907.33-7,825,285,418.36-7,608,534,039.08-5,625,948,729.9
  归属于母公司股东权益合计1,793,767,825.592,185,154,393.112,401,590,666.684,401,345,612.69
  少数股东权益2,519,389,272.742,516,579,061.652,494,953,339.972,622,488,768.09
  股东权益合计4,313,157,098.334,701,733,454.764,896,544,006.657,023,834,380.78
  负债和股东权益合计19,102,835,584.1820,481,122,818.2320,721,867,109.7422,566,876,316.46
公告日期2025-08-302025-04-292025-04-292024-10-31
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