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潍柴重机

(000880)

  

流通市值:72.72亿  总市值:148.57亿
流通股本:2.27亿   总股本:4.64亿

资产负债表

报告期2026-03-312025-12-312025-09-302025-06-30
公司类型通用通用通用通用
流动资产:
  货币资金2,257,760,845.82,205,949,396.782,036,486,123.72,375,048,903.41
  交易性金融资产50,117,123.29260,047,191.78--
  应收票据及应收账款779,671,888.8477,060,541.65734,758,753.63649,375,677.02
        应收账款779,671,888.8477,060,541.65734,758,753.63649,375,677.02
  应收款项融资599,214,733.64521,491,188.77662,313,279.76736,137,210.87
  预付款项74,804,904.8849,220,333.0336,414,423.2216,193,323.63
  其他应收款合计19,505,947.8915,989,229.811,433,170.446,302,211.16
  存货1,656,016,316.741,830,501,833.951,358,917,811.441,185,619,339.21
  合同资产122,650,397.84105,632,275.1181,749,403.48-
  其他流动资产28,937,834.7953,984,719.9635,069,945.313,089,741.39
  流动资产合计5,588,679,993.675,519,876,710.834,957,142,910.974,981,766,406.69
非流动资产:
  长期股权投资1,025,626,072.861,020,672,620.791,016,251,801.511,022,971,214.18
  投资性房地产1,992,576.072,015,427.79742,009.86-
  固定资产1,027,202,998.01782,326,223.37792,099,596.48701,555,593.72
  在建工程53,346,222.71214,943,267.78193,552,371.1341,478,332.76
  使用权资产13,308,245.2913,441,440.078,381,495.636,433,090.83
  无形资产525,472,588.83529,851,170.63534,310,254.68154,257,494.27
  商誉56,056,429.6356,056,429.6356,056,429.63-
  长期待摊费用5,679,865.466,406,268.964,983,860.07-
  递延所得税资产213,187,233.65206,506,059.72183,101,862.19143,046,153.42
  非流动资产合计2,921,872,232.512,832,218,908.742,789,479,681.182,069,741,879.18
  资产总计8,510,552,226.188,352,095,619.577,746,622,592.157,051,508,285.87
流动负债:
  短期借款65,000,000198,532,211.9163,532,211.9-
  应付票据及应付账款4,437,921,383.854,420,036,189.463,952,477,847.113,688,515,738.26
  其中:应付票据1,263,556,350.151,264,379,672.151,156,712,320.361,027,654,130.89
        应付账款3,174,365,033.73,155,656,517.312,795,765,526.752,660,861,607.37
  合同负债710,117,036.62513,002,390.67445,459,004.85330,196,303.81
  应付职工薪酬122,623,400.92118,878,607.87113,445,821.28122,787,956.14
  应交税费17,670,945.6368,676,109.2313,676,048.6611,757,599.01
  其他应付款合计459,363,916.17388,945,260.6437,261,619.01420,510,976.69
        应付股利---56,324,502
  一年内到期的非流动负债4,709,611.924,709,611.926,939,470.076,444,957.32
  其他流动负债50,483,790.1244,633,903.8641,205,136.4142,028,312.96
  流动负债合计5,867,890,085.235,757,414,285.515,173,997,159.294,622,241,844.19
非流动负债:
  租赁负债8,412,760.428,980,393.451,399,850.03-
  长期应付职工薪酬14,211,172.0216,039,737.3217,925,995.6319,941,009.57
  预计负债64,971,830.6266,171,830.6272,336,364.0569,936,364.05
  递延收益366,998,595.53370,869,090.84393,911,271.46177,602,765.59
  递延所得税负债29,951,079.6630,339,408.7729,569,560.0812,717,083.79
  非流动负债合计484,545,438.25492,400,461515,143,041.25280,197,223
  负债合计6,352,435,523.486,249,814,746.515,689,140,200.544,902,439,067.19
所有者权益(或股东权益):
  实收资本(或股本)463,848,840463,848,840463,848,840331,320,600
  资本公积317,651,036.86317,651,036.86427,622,715.31563,230,156.6
  专项储备13,296,800.3712,055,858.8513,679,079.8112,357,068.93
  盈余公积178,892,982.42178,892,982.42155,789,161.46154,082,607.17
  未分配利润1,184,427,043.051,129,832,154.93996,542,595.031,088,078,785.98
  归属于母公司股东权益合计2,158,116,702.72,102,280,873.062,057,482,391.612,149,069,218.68
  股东权益合计2,158,116,702.72,102,280,873.062,057,482,391.612,149,069,218.68
  负债和股东权益合计8,510,552,226.188,352,095,619.577,746,622,592.157,051,508,285.87
公告日期2026-04-302026-03-272025-10-292025-08-16
审计意见(境内)标准无保留意见标准无保留意见
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