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陕天然气

(002267)

  

流通市值:97.31亿  总市值:97.31亿
流通股本:11.12亿   总股本:11.12亿

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680,918,976.241,302,067,431.781,097,250,769.44890,174,352.91
  应收票据及应收账款98,518,818.79112,938,319.79111,884,296.33134,446,376.78
  其中:应收票据2,127,4002,763,6861,845,0362,310,644
        应收账款96,391,418.79110,174,633.79110,039,260.33132,135,732.78
  预付款项91,217,345.75133,595,081.53301,502,706.03134,864,266.37
  其他应收款合计21,266,065.9414,747,987.6416,194,945.8615,914,779.56
  其中:应收利息---2,491,666.73
        应收股利8,000,000---
  存货289,370,012.56267,544,678.08308,408,633.33286,013,921.38
  合同资产484,742.66569,917.8639,989.6527,648.64
  其他流动资产24,069,170.2116,279,985.5612,431,291.436,468,981.86
  流动资产合计1,205,845,132.151,847,743,402.181,848,312,632.021,468,410,327.5
非流动资产:
  长期股权投资558,155,188.56576,597,639.05570,377,571.94564,591,582.39
  投资性房地产65,376,139.4665,743,011.2966,109,883.1261,315,028.28
  固定资产9,908,629,236.59,961,566,620.310,114,228,444.098,600,764,813.98
  在建工程1,169,345,239.981,163,816,943.621,102,704,145.791,323,369,537.5
  使用权资产15,036,137.8419,354,762.2515,356,009.055,188,230.74
  无形资产715,903,171.08719,544,967.23699,834,137.13669,715,065.81
  开发支出11,575,763.8512,181,096.9611,688,760.0710,823,388.87
  商誉117,417,556.11117,417,556.11117,417,556.11124,447,656.97
  长期待摊费用1,533,465.371,666,962.452,419,686.611,444,399.71
  递延所得税资产48,084,258.2748,696,598.7947,196,946.2245,635,191.76
  其他非流动资产54,653,335.3162,954,597.0652,952,926.0975,856,121.85
  非流动资产合计12,665,709,492.3312,749,540,755.1112,800,286,066.2211,483,151,017.86
  资产总计13,871,554,624.4814,597,284,157.2914,648,598,698.2412,951,561,345.36
流动负债:
  短期借款523,718,616.69832,460,242.181,017,261,932.97542,724,729.17
  应付票据及应付账款1,428,251,941.581,477,278,809.491,256,198,467.871,026,051,221.16
  其中:应付票据401,336,650.95386,465,938.95101,321,314.396,217,026.3
        应付账款1,026,915,290.631,090,812,870.541,154,877,153.57929,834,194.86
  预收款项553,572.46406,319.82112,547.18187,424.5
  合同负债771,468,803.87771,375,485.441,205,457,740.06939,271,217.7
  应付职工薪酬236,745,995.47203,741,832.19251,060,524.95214,965,649.73
  应交税费33,980,398.22110,314,303.1749,619,147.7624,625,996.34
  其他应付款合计203,396,665.19898,817,396.45927,489,042.94224,894,313.17
        应付股利15,065,747.314,900,0004,900,0004,900,000
  一年内到期的非流动负债765,492,536.02838,752,303.98723,143,275.33638,492,266.22
  其他流动负债382,929,926.4532,548,995.7959,026,001.7135,533,411.47
  流动负债合计4,346,538,455.955,165,695,688.515,489,368,680.773,646,746,229.46
非流动负债:
  长期借款1,051,268,254.09587,381,319.12837,546,372.4911,540,555.47
  应付债券1,508,915,651.731,530,820,723.71,521,043,752.641,211,747,480.84
  租赁负债3,185,580.619,813,506.955,580,970.741,171,499.93
  长期应付款6,540,0006,540,0006,540,0005,540,000
  递延收益56,102,264.456,553,070.0457,303,875.6756,023,687.79
  递延所得税负债2,991,006.273,298,127.22,469,878.862,867,789.76
  非流动负债合计2,629,002,757.12,194,406,747.012,430,484,850.312,188,891,013.79
  负债合计6,975,541,213.057,360,102,435.527,919,853,531.085,835,637,243.25
所有者权益(或股东权益):
  实收资本(或股本)1,112,075,4451,112,075,4451,112,075,4451,112,075,445
  资本公积903,621,514.84906,491,805.78904,687,044.281,258,600,632.56
  其他综合收益91,070,861.3391,070,861.3391,070,861.3391,070,861.33
  专项储备235,875,648216,666,185.82186,341,982.39310,092,188.56
  盈余公积564,197,722.5564,197,722.5564,197,722.5564,197,722.5
  未分配利润3,688,512,254.014,027,527,434.253,568,431,504.793,478,959,351.38
  归属于母公司股东权益合计6,595,353,445.686,918,029,454.686,426,804,560.296,814,996,201.33
  少数股东权益300,659,965.75319,152,267.09301,940,606.87300,927,900.78
  股东权益合计6,896,013,411.437,237,181,721.776,728,745,167.167,115,924,102.11
  负债和股东权益合计13,871,554,624.4814,597,284,157.2914,648,598,698.2412,951,561,345.36
公告日期2025-08-262025-04-292025-04-292024-10-25
审计意见(境内)标准无保留意见
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