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天齐锂业

(002466)

  

流通市值:649.22亿  总市值:721.97亿
流通股本:14.76亿   总股本:16.41亿

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7,186,378,346.878,197,022,133.315,767,215,219.36,275,563,352.7
  交易性金融资产1,659,537,490.411,016,513,612.01655,084,064.41471,774,850
  应收票据及应收账款734,535,718.89791,152,247.82790,381,478.251,494,192,144.28
  其中:应收票据350,049,217.34287,101,106.87255,745,659.78202,591,767.48
        应收账款384,486,501.55504,051,140.95534,635,818.471,291,600,376.8
  应收款项融资605,931,002.94808,800,461.021,477,702,485.48935,159,979.46
  预付款项77,224,790.7758,137,944.6270,111,212.3760,358,802.26
  其他应收款合计61,887,046.1156,635,771.3953,277,558.1546,827,758.77
        应收股利12,438,899.24---
  存货2,546,256,615.462,366,692,845.212,289,046,841.372,583,034,019.3
  其他流动资产1,996,446,306.631,705,510,466.31,747,424,334.131,764,865,001.69
  流动资产合计14,868,197,318.0815,000,465,481.6812,850,243,193.4613,631,775,908.46
非流动资产:
  长期股权投资26,421,313,976.1826,382,800,259.3226,250,510,232.1825,612,103,131.11
  其他权益工具投资2,598,600,903.342,489,138,564.022,729,739,477.312,354,584,341.51
  固定资产12,421,980,518.7412,405,042,137.5512,479,566,608.4812,304,536,948.12
  在建工程7,354,496,368.256,270,875,026.555,137,230,467.216,737,486,305.98
  使用权资产1,053,413,280.911,046,927,443.461,091,619,714.211,253,190,385.22
  无形资产4,871,372,814.694,513,243,543.024,299,390,953.224,538,115,424.7
  商誉416,100,700.47416,100,700.47416,100,700.47416,100,700.47
  长期待摊费用24,637,646.2113,239,041.9413,630,882.4414,103,479.63
  递延所得税资产3,473,747,978.053,292,818,672.453,255,379,4933,320,597,981.44
  其他非流动资产96,800,775.84100,974,979.4154,460,262.36172,440,555.31
  非流动资产合计58,732,464,962.6856,931,160,368.1855,827,628,790.8856,723,259,253.49
  资产总计73,600,662,280.7671,931,625,849.8668,677,871,984.3470,355,035,161.95
流动负债:
  短期借款1,305,970,457.211,737,584,871.671,313,544,856.831,430,963,725.9
  交易性金融负债9,911,285.45---
  应付票据及应付账款1,620,960,435.791,644,278,687.471,600,952,780.861,733,428,574.73
  其中:应付票据-82,000,00082,000,0002,541,738.08
        应付账款1,620,960,435.791,562,278,687.471,518,952,780.861,730,886,836.65
  合同负债9,214,804.122,494,752.0711,985,458.5732,780,849.85
  应付职工薪酬154,490,530.16186,466,050.93227,479,067.83158,031,683.19
  应交税费144,519,862.22181,818,639.16227,744,836.6361,888,446.23
  其他应付款合计158,004,188.14118,911,513.41130,668,624.9819,553,196.44
        应付股利1,184,850.11,184,850.11,184,850.11,184,850.1
  一年内到期的非流动负债1,787,195,890.081,610,401,730.671,099,765,660.25715,153,818.38
  其他流动负债247,072,050.23443,141,627.31429,131,134.83411,931,364.1
  流动负债合计5,437,339,503.385,945,097,872.695,041,272,420.754,863,731,658.82
非流动负债:
  长期借款13,999,673,620.713,259,882,056.0811,203,447,996.5511,427,835,608.53
  租赁负债975,879,193.39964,764,764.191,001,724,123.521,117,343,418.03
  长期应付职工薪酬58,763,549.3651,352,783.2954,241,097.3354,053,508.99
  预计负债717,857,609.76634,204,598.4621,479,804.59715,960,346.57
  递延收益49,512,441.453,894,965.0356,078,113.53108,852,918.82
  递延所得税负债1,899,742,114.121,624,843,032.871,517,288,155.291,713,748,823.71
  非流动负债合计17,701,428,528.7316,588,942,199.8614,454,259,290.8115,137,794,624.65
  负债合计23,138,768,032.1122,534,040,072.5519,495,531,711.5620,001,526,283.47
所有者权益(或股东权益):
  实收资本(或股本)1,641,221,5831,641,221,5831,641,221,5831,641,221,583
  资本公积23,744,178,446.7823,735,431,709.9123,769,401,463.4323,761,906,739.55
  减:库存股157,781,595.94157,781,595.94199,985,012.86199,985,012.86
  其他综合收益406,940,523.47278,681,685.63530,161,396.68-53,964,471.14
  专项储备28,669,912.0428,135,094.326,428,262.0430,577,099.83
  盈余公积831,954,051.59831,954,051.59831,954,051.59831,954,051.59
  未分配利润15,415,763,033.6215,435,627,055.5315,293,327,291.5217,496,494,222.3
  归属于母公司股东权益合计41,910,945,954.5641,793,269,584.0241,892,509,035.443,508,204,212.27
  少数股东权益8,550,948,294.097,604,316,193.297,289,831,237.386,845,304,666.21
  股东权益合计50,461,894,248.6549,397,585,777.3149,182,340,272.7850,353,508,878.48
  负债和股东权益合计73,600,662,280.7671,931,625,849.8668,677,871,984.3470,355,035,161.95
公告日期2025-08-302025-04-302025-03-272024-10-31
审计意见(境内)标准无保留意见
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