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闽发铝业

(002578)

  

流通市值:31.00亿  总市值:33.79亿
流通股本:8.61亿   总股本:9.39亿

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266,830,754.23322,756,445.15316,253,697.91423,132,707.44
  交易性金融资产414,590,598.48350,136,944.18417,797,710.94332,465,654.42
  应收票据及应收账款479,411,745431,648,080.6590,605,845.51568,890,849.59
  其中:应收票据38,359,966.6638,379,183.6671,834,838.38107,147,967.36
        应收账款441,051,778.34393,268,896.94518,771,007.13461,742,882.23
  应收款项融资22,790,367.1232,268,851.2526,839,650.8945,458,263.56
  预付款项34,218,316.2421,651,190.124,108,622.8342,218,086.91
  其他应收款合计4,433,402.6111,026,0844,563,126.616,294,590.66
  存货393,087,769.5364,497,608.7276,208,446.63372,273,001.75
  其他流动资产10,339,887.0613,185,082.7567,734.467,579,520.9
  流动资产合计1,625,702,840.241,547,170,286.751,636,444,835.781,798,312,675.23
非流动资产:
  长期股权投资16,281,001.7529,464,525.6629,349,551.2530,035,693.27
  其他非流动金融资产30,600,00030,600,00030,600,00030,600,000
  投资性房地产17,204,850.417,895,909.718,309,750.857,529,748.52
  固定资产435,718,131.06445,455,900.23456,277,188.14469,886,507.28
  在建工程23,356,841.7824,375,677.1420,394,645.859,245,309.33
  无形资产87,276,441.9887,724,323.4788,455,223.8289,046,017.31
  长期待摊费用96,203.797,552.3598,901100,249.65
  递延所得税资产89,336.3-824,636.17-
  其他非流动资产91,210,357.0276,044,244.2762,626,516.5313,031,608.73
  非流动资产合计701,833,164701,658,132.83696,936,413.61649,475,134.09
  资产总计2,327,536,004.242,248,828,419.582,333,381,249.392,447,787,809.32
流动负债:
  短期借款589,493,975.47494,496,679.59561,012,426.5643,272,831.32
  应付票据及应付账款87,816,712.6186,767,605.1686,625,033.35125,671,616.26
  其中:应付票据10,200,00020,000,00020,000,00054,000,000
        应付账款77,616,712.6166,767,605.1666,625,033.3571,671,616.26
  预收款项3,476,352.663,473,833.881,633,851.982,290,430.32
  合同负债32,738,655.632,279,815.5323,257,042.5240,716,000.15
  应付职工薪酬13,031,106.4823,920,376.7527,222,915.3114,850,245.62
  应交税费1,560,334.192,620,630.678,841,101.334,736,657.63
  其他应付款合计5,532,931.6613,626,334.2621,952,742.9214,124,643.36
  一年内到期的非流动负债18,854,514.73333,065.83613,080.28983,190.28
  其他流动负债22,971,424.4923,761,759.6139,280,397.2241,415,133.02
  流动负债合计775,476,007.89681,280,101.28770,438,591.41888,060,747.96
非流动负债:
  长期借款-18,500,00018,500,00018,600,000
  递延收益22,347,499.817,493,491.8117,712,465.825,212,695.83
  递延所得税负债-1,845,927.9-1,293,076.17
  非流动负债合计22,347,499.837,839,419.7136,212,465.8225,105,772
  负债合计797,823,507.69719,119,520.99806,651,057.23913,166,519.96
所有者权益(或股东权益):
  实收资本(或股本)938,630,183938,630,183938,630,183938,630,183
  资本公积95,838,414.4795,838,414.4795,838,414.4796,000,841.98
  其他综合收益-1,349,757.5-447,907.5-13,175
  盈余公积66,271,018.166,271,018.166,271,018.165,166,386.76
  未分配利润428,824,626.35427,950,795.72425,888,943.84434,673,540.3
  归属于母公司股东权益合计1,528,214,484.421,528,242,503.791,526,628,559.411,534,484,127.04
  少数股东权益1,498,012.131,466,394.8101,632.75137,162.32
  股东权益合计1,529,712,496.551,529,708,898.591,526,730,192.161,534,621,289.36
  负债和股东权益合计2,327,536,004.242,248,828,419.582,333,381,249.392,447,787,809.32
公告日期2025-08-262025-04-262025-04-032024-10-26
审计意见(境内)标准无保留意见
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