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雅化集团

(002497)

  

流通市值:218.91亿  总市值:238.35亿
流通股本:10.59亿   总股本:11.53亿

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1,895,467,575.031,801,714,411.811,711,078,349.671,929,403,385.74
  交易性金融资产944,467,245.61,099,837,752.351,350,056,916.051,705,882,836.32
  衍生金融资产611,82884,852.342,575,5406,819,840
  应收票据及应收账款1,956,364,219.251,356,650,911.361,410,892,912.081,254,748,189.37
  其中:应收票据335,384,545.51339,041,208.37333,957,939.04315,804,003.4
        应收账款1,620,979,673.741,017,609,702.991,076,934,973.04938,944,185.97
  应收款项融资549,569,466.9401,626,701.5158,495,577.77286,182,136.3
  预付款项462,301,532.37447,605,160.09615,649,253.74357,818,153.05
  其他应收款合计184,508,503.53121,225,470.767,111,218.3980,972,813.73
  其中:应收利息---0
        应收股利--1,345,7001,345,700
  存货1,528,550,420.961,686,003,061.371,842,999,447.791,645,325,875.23
  合同资产180,834,696.54129,381,668.03124,778,217.0994,564,425.75
  其他流动资产62,990,110.18191,494,737.17250,410,968.3230,165,335.69
  流动资产合计7,765,665,598.367,235,624,726.727,534,048,400.887,591,882,991.18
非流动资产:
  长期股权投资883,172,674.81865,901,692.14888,216,377.74885,478,709.26
  其他权益工具投资148,754,309.5136,965,384.08111,903,103.6114,142,382.18
  投资性房地产34,739,639.4135,288,698.7836,046,875.2236,850,792.42
  固定资产2,864,555,189.842,739,553,358.652,793,867,429.832,591,242,832.03
  在建工程601,021,949.58600,042,667.44449,419,019.46536,876,187.98
  生产性生物资产500,267500,267500,267500,267
  使用权资产58,968,986.557,567,716.0756,282,368.4654,610,177.48
  无形资产961,054,694.07979,383,457.37993,116,165.561,002,010,352.53
  开发支出34,322.3420,542.45,027.05-
  商誉461,222,268.59484,695,321.86483,519,748.93476,693,270.03
  长期待摊费用142,041,058.15106,032,176.99135,799,201.29136,130,579.25
  递延所得税资产450,868,890.86463,097,304.7421,326,286.63436,028,527.91
  其他非流动资产104,452,006.51151,494,543165,809,647.34195,202,234.83
  非流动资产合计6,711,386,257.166,620,543,130.486,535,811,518.116,465,766,312.9
  资产总计14,477,051,855.5213,856,167,857.214,069,859,918.9914,057,649,304.08
流动负债:
  短期借款154,967,211.56250,426,355.61261,419,511.28192,252,429.16
  衍生金融负债-47,200--
  应付票据及应付账款1,586,145,597.521,024,225,136.461,004,866,190.881,179,572,191.26
  其中:应付票据219,927,380.2496,762,103.9699,589,526.42196,576,975.19
        应付账款1,366,218,217.28927,463,032.5905,276,664.46982,995,216.07
  预收款项81,773.2956,273.0367,898.0379,523.03
  合同负债98,718,966.7692,708,168.6796,277,385.2715,096,265.73
  应付职工薪酬140,989,289.55129,512,541.84110,525,300.6165,550,994.48
  应交税费37,119,771.993,906,898.62132,220,613.83220,588,317.3
  其他应付款合计142,019,488.35131,613,444.36129,885,481.66113,452,262.7
        应付股利-2,000,000-0
  一年内到期的非流动负债184,702,320.12262,141,436.51440,777,159.85519,295,138.64
  其他流动负债226,963,395.35240,406,397.38266,854,437.28223,632,178.82
  流动负债合计2,571,707,814.42,225,043,852.482,442,893,978.682,629,519,301.12
非流动负债:
  长期借款508,372,184.57421,923,735.87428,306,685.72327,019,662.52
  租赁负债54,225,184.6146,820,784.6745,579,311.5649,442,722.09
  长期应付款21,239,716.823,069,657.2426,206,329.2528,769,133.28
  长期应付职工薪酬816,576.24790,694.27803,936.96878,196.43
  预计负债35,604,758.6736,087,798.9632,488,175.5232,534,340.21
  递延收益139,579,815.65145,394,179.16150,168,361.76153,582,385.37
  递延所得税负债41,654,962.6940,249,915.7637,804,192.1738,532,151.29
  非流动负债合计801,493,199.23714,336,765.93721,356,992.94630,758,591.19
  负债合计3,373,201,013.632,939,380,618.413,164,250,971.623,260,277,892.31
所有者权益(或股东权益):
  实收资本(或股本)1,152,562,5201,152,562,5201,152,562,5201,152,562,520
  资本公积2,586,641,076.652,573,990,728.732,557,524,902.262,752,013,333.02
  减:库存股100,016,820.71100,016,820.71100,016,820.71364,310,076.87
  其他综合收益33,703,844.0643,540,265.478,974,274.86-4,258,737.83
  专项储备110,221,184.94107,180,578.65108,258,401.52109,445,255.03
  盈余公积236,781,732.73236,781,732.73236,781,732.73236,781,732.73
  未分配利润6,830,399,875.396,632,179,748.896,624,603,343.296,542,138,985.43
  归属于母公司股东权益合计10,850,293,413.0610,646,218,753.7610,588,688,353.9510,424,373,011.51
  少数股东权益253,557,428.83270,568,485.03316,920,593.42372,998,400.26
  股东权益合计11,103,850,841.8910,916,787,238.7910,905,608,947.3710,797,371,411.77
  负债和股东权益合计14,477,051,855.5213,856,167,857.214,069,859,918.9914,057,649,304.08
公告日期2025-10-302025-08-202025-04-292025-04-29
审计意见(境内)标准无保留意见
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