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海联金汇

(002537)

  

流通市值:103.01亿  总市值:103.43亿
流通股本:11.69亿   总股本:11.74亿

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681,786,413.671,175,206,198.71,062,886,353.36904,028,436.11
  结算备付金656,896,990.38536,645,831.81604,553,975.48648,550,852.07
  交易性金融资产849,313,276.34330,333,547.36344,351,516.68254,023,281.07
  应收票据及应收账款1,380,638,787.761,500,142,023.181,368,353,352.781,510,824,599.05
  其中:应收票据221,155,352.22301,339,858.82231,674,345.96232,833,743.7
        应收账款1,159,483,435.541,198,802,164.361,136,679,006.821,277,990,855.35
  应收款项融资645,854,074.61638,458,304.22528,762,791.9356,216,112.12
  预付款项331,586,559.17285,380,194.79333,427,843.36298,521,255.9
  其他应收款合计98,737,998.61100,666,277.47104,250,078.8727,719,321.75
  存货920,723,480.74934,289,152.511,028,945,971.8921,083,889.67
  其他流动资产520,486,423.19570,285,575.24206,874,425.98302,506,211.92
  流动资产合计6,086,024,004.476,071,407,105.285,582,406,310.215,223,473,959.66
非流动资产:
  长期股权投资71,879,554.2472,484,929.9372,676,404.7973,700,416.49
  其他权益工具投资174,338,329.61171,995,009.45156,641,806.3156,582,170.31
  其他非流动金融资产59,490,608.4520,095,210.3120,000,00020,000,000
  固定资产1,095,234,348.61,105,918,811.381,142,024,958.951,200,118,314.37
  在建工程271,549,648.77279,122,193.1214,725,695.91171,567,553.07
  使用权资产106,577,967.93117,964,289.73124,686,951.23125,078,780.23
  无形资产214,253,555.32219,121,956.91223,787,783.6269,261,192.12
  商誉63,648,701.1363,648,701.1363,648,701.1363,648,701.13
  长期待摊费用209,535,393.8184,738,271.85186,293,455.07216,654,813.3
  递延所得税资产85,101,022.9892,206,283.5895,120,616.7396,686,233.73
  其他非流动资产594,147,105.11654,070,225.52832,026,557.23798,913,065.9
  非流动资产合计2,945,756,235.942,981,365,882.893,131,632,930.943,192,211,240.65
  资产总计9,031,780,240.419,052,772,988.178,714,039,241.158,415,685,200.31
流动负债:
  短期借款899,811,624.591,071,436,661.49664,574,084.86571,135,554.36
  应付票据及应付账款1,536,975,922.251,575,907,926.021,547,272,712.221,580,961,681.32
  其中:应付票据415,754,646.05440,764,789.85507,009,789.85410,930,000
        应付账款1,121,221,276.21,135,143,136.171,040,262,922.371,170,031,681.32
  预收款项303,187.543,312.5105,577.76216,562.5
  合同负债286,162,767.3266,203,161.78249,125,074.27229,042,476.12
  应付职工薪酬99,236,252.9883,397,428.5870,843,648.4396,408,012.32
  应交税费29,066,970.0631,219,928.836,412,031.2331,074,661.99
  其他应付款合计179,279,713.4176,982,921.98136,965,634.65126,832,731.91
  一年内到期的非流动负债543,016,917.56446,964,481.05529,417,770.42349,921,215.79
  其他流动负债708,793,787.48581,373,325.05644,231,629.31682,003,188.99
  流动负债合计4,282,647,143.124,233,529,147.253,878,948,163.153,667,596,085.3
非流动负债:
  长期借款311,051,725.32457,885,049.92541,340,003.44487,096,863
  租赁负债59,367,394.261,414,672.9975,689,255.878,877,714
  预计负债-1,484,111.721,484,111.721,484,111.72
  递延收益112,601,566.22113,284,128.37115,432,351.97117,022,533.2
  递延所得税负债37,931,609.8538,647,627.3236,984,410.3743,689,639.57
  非流动负债合计520,952,295.59672,715,590.32770,930,133.3728,170,861.49
  负债合计4,803,599,438.714,906,244,737.574,649,878,296.454,395,766,946.79
所有者权益(或股东权益):
  实收资本(或股本)1,174,016,7451,174,016,7451,174,016,7451,174,016,745
  资本公积4,075,278,679.44,072,296,354.264,083,843,907.54,083,843,907.5
  减:库存股534,512,736.93534,512,736.93548,048,506.93548,048,506.93
  其他综合收益73,154,595.7970,998,882.3563,068,676.3163,089,789.43
  专项储备-885.97--
  盈余公积194,116,182.92194,274,244.12177,468,363.02177,468,363.02
  未分配利润-753,170,029.23-830,197,122.3-886,516,451.32-937,157,815.03
  归属于母公司股东权益合计4,228,883,436.954,146,877,252.474,063,832,733.584,013,212,482.99
  少数股东权益-702,635.25-349,001.87328,211.126,705,770.53
  股东权益合计4,228,180,801.74,146,528,250.64,064,160,944.74,019,918,253.52
  负债和股东权益合计9,031,780,240.419,052,772,988.178,714,039,241.158,415,685,200.31
公告日期2025-10-292025-08-272025-04-292025-04-26
审计意见(境内)标准无保留意见
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