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新乡化纤

(000949)

  

流通市值:80.23亿  总市值:80.26亿
流通股本:17.00亿   总股本:17.00亿

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1,229,349,802.51,210,977,659.991,401,081,047.791,013,688,131.54
  交易性金融资产70,000,00028,001,594.4420,005,111.1120,019,583.33
  应收票据及应收账款1,743,175,776.191,678,663,203.681,430,460,451.11,445,379,998.19
        应收账款1,743,175,776.191,678,663,203.681,430,460,451.11,445,379,998.19
  应收款项融资73,164,554.5189,380,795.5280,016,255.3755,184,205.21
  预付款项34,379,517.749,669,451.4350,488,007.3661,677,782.45
  其他应收款合计443,563.21283,145.65521,900.64137,221.96
  存货2,065,398,202.132,011,157,442.721,919,366,903.61,872,344,921.5
  其他流动资产172,877,980.1115,713,282.29214,648,163.13250,410,442.38
  流动资产合计5,388,789,396.345,183,846,575.725,116,587,840.14,718,842,286.56
非流动资产:
  长期股权投资214,190,889.78213,676,216.99213,517,468.31214,764,236.02
  投资性房地产13,709,925.7612,232,625.0612,356,052.7712,479,480.48
  固定资产6,906,827,397.666,972,641,407.327,044,804,790.417,222,779,176.69
  在建工程361,695,339.8336,662,707.2339,347,437.72251,469,388.21
  生产性生物资产1,193,374.541,231,918.031,220,044.851,257,338.33
  使用权资产17,868,103.34768,072.232,430,944.064,093,815.89
  无形资产267,017,677.96268,499,773.81270,586,576.89272,755,616.99
  递延所得税资产128,537,237.67133,954,914.48138,709,881.5145,780,875.71
  其他非流动资产64,588,627.15161,650,108.28191,748,600.6235,471,912.35
  非流动资产合计7,975,628,573.668,101,317,743.48,214,721,797.118,360,851,840.67
  资产总计13,364,417,97013,285,164,319.1213,331,309,637.2113,079,694,127.23
流动负债:
  短期借款1,012,473,403.781,014,261,298.62924,177,666.66819,218,303.47
  应付票据及应付账款956,064,820.02972,945,210.311,154,111,404.351,522,143,075.57
  其中:应付票据97,310,546.4482,760,107.03179,650,000329,300,000
        应付账款858,754,273.58890,185,103.28974,461,404.351,192,843,075.57
  预收款项20,363,161.0325,479,555.5826,535,403.7822,212,458.14
  合同负债93,787,270.6388,950,038.1871,733,943.8182,444,408.51
  应付职工薪酬17,637,245.614,439,394.4212,393,316.2115,112,919.65
  应交税费18,449,525.0525,590,729.7815,644,109.3931,859,483.82
  其他应付款合计21,516,841.6928,405,88573,996,446.591,598,945.08
  一年内到期的非流动负债1,456,282,807.081,341,720,550.711,138,777,419.94963,176,606.88
  其他流动负债12,192,345.1811,563,504.979,325,412.6910,717,773.1
  流动负债合计3,608,767,420.063,523,356,167.573,426,695,123.333,558,483,974.22
非流动负债:
  长期借款2,877,388,547.32,957,268,009.843,064,945,763.022,696,799,698.5
  租赁负债11,235,023.55220,696.85424,960.76532,964.26
  长期应付职工薪酬16,797,242.5619,105,382.622,098,000.5325,393,210.02
  递延收益178,781,955.4184,100,157.52186,681,504.64192,157,876.57
  递延所得税负债44,712,918.2844,854,423.1647,850,258.5850,856,294.48
  非流动负债合计3,128,915,687.093,205,548,669.973,322,000,487.532,965,740,043.83
  负债合计6,737,683,107.156,728,904,837.546,748,695,610.866,524,224,018.05
所有者权益(或股东权益):
  实收资本(或股本)1,700,329,9221,700,329,9221,700,329,9221,700,329,922
  资本公积3,102,903,895.543,102,903,895.543,106,942,672.523,106,942,672.52
  减:库存股150,999,551.25150,999,551.25150,999,551.25150,999,551.25
  盈余公积379,524,120.32379,524,120.32379,524,120.32379,524,120.32
  未分配利润1,594,976,476.241,524,501,094.971,489,404,519.741,461,754,225.85
  归属于母公司股东权益合计6,626,734,862.856,556,259,481.586,525,201,683.336,497,551,389.44
  少数股东权益--57,412,343.0257,918,719.74
  股东权益合计6,626,734,862.856,556,259,481.586,582,614,026.356,555,470,109.18
  负债和股东权益合计13,364,417,97013,285,164,319.1213,331,309,637.2113,079,694,127.23
公告日期2025-10-312025-08-212025-04-292025-03-28
审计意见(境内)标准无保留意见
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