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中泰化学

(002092)

  

流通市值:120.28亿  总市值:120.95亿
流通股本:25.76亿   总股本:25.90亿

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6,828,609,274.177,249,036,622.465,540,734,182.414,768,929,874.15
  衍生金融资产541,425---
  应收票据及应收账款2,975,598,966.593,030,639,558.872,540,691,472.532,627,176,932.11
  其中:应收票据2,454,178,284.762,510,537,348.391,874,912,605.212,042,729,364.17
        应收账款521,420,681.83520,102,210.48665,778,867.32584,447,567.94
  应收款项融资1,056,277,872.65994,067,666.74853,731,764.88771,945,283.43
  预付款项891,794,031.34581,246,437.58653,137,410.59574,577,858.23
  其他应收款合计499,500,447.27520,272,974.68511,709,017.03481,650,087.41
  存货2,802,674,024.532,880,538,129.033,305,303,843.493,130,220,291.86
  一年内到期的非流动资产-49,356,694.3148,650,073.7847,953,569.67
  其他流动资产850,014,600.76849,102,394.5770,061,748.49714,377,611.91
  流动资产合计15,905,010,642.3116,154,260,478.1714,224,019,513.213,116,831,508.77
非流动资产:
  长期应收款362,505,686.53388,734,978.02482,662,015.16501,363,398.19
  长期股权投资1,717,016,853.881,753,720,443.591,790,262,556.931,846,394,856.6
  其他权益工具投资67,919,960.2367,919,960.2364,773,039.9164,773,039.91
  投资性房地产171,429,294.89173,431,642.59175,433,990.3177,436,337.97
  固定资产43,804,831,486.4844,538,124,436.0444,643,091,422.7845,439,522,801.16
  在建工程12,387,440,472.2511,799,836,639.2511,003,601,163.0311,330,070,967.47
  使用权资产290,906.4319,997.04623,360,574.5644,048,449.41
  无形资产2,098,705,480.342,157,317,012.662,163,305,237.572,201,409,230.75
  开发支出37,128,561.2937,128,561.2937,128,561.2937,128,561.29
  商誉3,142,134.963,142,134.963,142,134.963,142,134.96
  长期待摊费用768,716,661.62728,066,599.35730,238,689.44855,721,129.85
  递延所得税资产306,881,255.88310,468,611.35325,881,642.85324,162,014.61
  其他非流动资产678,560,753.08643,845,677.35773,996,723.34482,552,219.59
  非流动资产合计62,404,569,507.8362,602,056,693.7262,816,877,752.0663,907,725,141.76
  资产总计78,309,580,150.1478,756,317,171.8977,040,897,265.2677,024,556,650.53
流动负债:
  短期借款5,365,200,877.495,216,434,964.285,228,110,363.315,341,130,458.06
  应付票据及应付账款7,933,097,986.519,057,762,394.49,010,475,616.49,398,906,148.04
  其中:应付票据1,884,181,857.682,794,521,977.172,385,613,626.331,839,736,000
        应付账款6,048,916,128.836,263,240,417.236,624,861,990.077,559,170,148.04
  预收款项1,773,644.591,372,084.341,054,696.57818,285.1
  合同负债1,210,359,066.651,010,586,687.161,095,795,736.291,350,499,402.6
  应付职工薪酬191,569,425.74171,282,104.25184,518,114.58177,885,314.88
  应交税费404,477,232.04328,342,463.74440,404,593.23386,237,437.08
  其他应付款合计625,624,518.49582,520,218.65527,074,508.23483,228,581.81
        应付股利10,290,00010,290,00010,290,00010,290,000
  一年内到期的非流动负债6,147,841,503.57,841,842,467.417,541,528,365.87,405,313,647.18
  其他流动负债9,665,747,339.059,213,972,912.188,117,627,115.118,508,741,578.45
  流动负债合计31,545,691,594.0633,424,116,296.4132,146,589,109.5233,052,760,853.2
非流动负债:
  长期借款12,820,266,929.0412,095,711,133.7111,640,696,370.2410,875,583,901.72
  应付债券601,906,849.32---
  租赁负债178,680.39209,457.44-0
  长期应付款4,863,888,996.174,735,126,805.224,505,662,839.034,235,256,477.75
  预计负债440,436,504.69449,183,216.35445,598,823.83445,571,707.05
  递延收益381,253,741.63347,804,565.84345,756,017.62347,845,786.84
  递延所得税负债21,843,261.9923,360,822.9121,503,600.9921,672,932.66
  非流动负债合计19,129,774,963.2317,651,396,001.4716,959,217,651.7115,925,930,806.02
  负债合计50,675,466,557.2951,075,512,297.8849,105,806,761.2348,978,691,659.22
所有者权益(或股东权益):
  实收资本(或股本)2,590,019,5172,590,019,5172,590,019,5172,590,019,517
  资本公积12,709,067,064.6712,710,115,781.9612,710,115,781.9612,710,115,781.96
  减:库存股76,255,20076,255,20076,255,20076,255,200
  其他综合收益51,996,699.158,302,371.258,361,627.0259,536,650.45
  专项储备38,946,801.2745,812,348.2960,005,47749,562,117.44
  盈余公积1,107,737,736.581,107,737,736.581,107,737,736.581,107,737,736.58
  未分配利润5,163,657,042.095,148,756,223.265,253,086,556.795,342,884,492.05
  归属于母公司股东权益合计21,585,169,660.7121,584,488,778.2921,703,071,496.3521,783,601,095.48
  少数股东权益6,048,943,932.146,096,316,095.726,232,019,007.686,262,263,895.83
  股东权益合计27,634,113,592.8527,680,804,874.0127,935,090,504.0328,045,864,991.31
  负债和股东权益合计78,309,580,150.1478,756,317,171.8977,040,897,265.2677,024,556,650.53
公告日期2025-10-242025-08-162025-04-252025-03-15
审计意见(境内)标准无保留意见
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