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天赐材料

(002709)

  

流通市值:280.60亿  总市值:389.83亿
流通股本:13.85亿   总股本:19.24亿

资产负债表

报告期2023-12-312023-09-302023-06-302023-03-31
公司类型通用通用通用通用
流动资产:
货币资金2,290,196,725.341,935,137,607.261,972,145,064.843,162,480,627.73
应收票据及应收账款4,294,627,333.115,622,294,515.825,306,241,142.835,922,381,661.38
应收账款4,294,627,333.115,622,294,515.825,306,241,142.835,922,381,661.38
应收款项融资1,107,982,919.14979,486,050.191,287,121,597.622,801,042,977.63
预付款项344,484,906.29423,591,189.58348,901,825.84357,432,251.12
其他应收款合计18,073,822.1378,643,023.218,651,249.316,262,464.8
存货1,171,852,221.611,770,250,069.151,717,313,069.871,632,521,368.45
其他流动资产707,473,491.17690,249,725.05762,798,324.59449,975,581.24
流动资产平衡项目0000
流动资产合计9,936,209,168.7911,499,652,180.2511,413,172,274.8914,342,096,932.35
非流动资产:
长期股权投资401,336,088.13386,707,213.05227,997,438.49193,639,446.71
其他权益工具投资458,637,834.49439,181,773.8446,087,850.77461,976,481.02
固定资产7,394,635,487.786,515,121,443.015,590,835,916.224,461,038,644.18
在建工程2,013,104,663.762,448,776,734.962,810,411,081.543,077,578,425.01
使用权资产35,318,883.2111,477,278.6211,607,702.2411,998,973.1
无形资产1,214,834,178.491,196,939,419.161,185,667,836.77946,323,900.75
商誉214,719,220.14214,719,220.14214,719,220.14224,168,279.14
长期待摊费用36,196,891.7839,061,131.4442,462,625.9545,437,368.69
递延所得税资产93,161,019.71108,998,831.1887,970,058.38124,839,719.48
其他非流动资产2,178,716,475.62,361,014,413.162,308,742,008.782,073,204,824.01
非流动资产平衡项目0000
非流动资产合计14,040,660,743.0913,721,997,458.5212,926,501,739.2811,620,206,062.09
资产平衡项目0000
资产总计23,976,869,911.8825,221,649,638.7724,339,674,014.1725,962,302,994.44
流动负债:
短期借款1,248,532,453.051,348,306,088.51,245,824,807.281,215,011,024.97
应付票据及应付账款3,420,953,839.624,244,474,436.043,743,023,282.074,222,298,090.59
其中:应付票据159,874,563.17527,005,524.52446,783,882.5943,940,370.22
应付账款3,261,079,276.453,717,468,911.523,296,239,399.484,178,357,720.37
合同负债54,439,199250,102,380.93519,405,703.15971,701,167.72
应付职工薪酬138,995,912.28153,895,610.87156,660,846.56127,267,478.51
应交税费256,846,386.55379,628,562.68313,649,222.49476,202,872.01
其他应付款合计381,577,720.07385,125,810.13416,147,855.95552,833,626.54
应付股利8,022,392.918,779,081.7136,979,081.7130,442,915.71
一年内到期的非流动负债432,778,567.98258,922,348.93245,642,452.34129,678,549
其他流动负债10,180,536.9431,901,778.7366,911,210.62125,709,621.07
流动负债平衡项目0000
流动负债合计5,944,304,615.497,052,357,016.816,707,265,380.467,820,702,430.41
非流动负债:
长期借款893,947,6471,026,295,882.29996,794,117.581,061,132,352.88
应付债券3,302,231,181.573,273,792,130.843,245,345,827.273,191,562,441.19
租赁负债31,254,165.0712,569,010.4112,569,010.4112,650,209.35
预计负债---5,569,826.48
递延收益141,235,734.61141,444,941.76143,067,181.9145,521,905.05
递延所得税负债84,241,460.1680,153,005.5185,564,119.05106,344,343.07
非流动负债平衡项目0000
非流动负债合计4,452,910,188.414,534,254,970.814,483,340,256.214,522,781,078.02
负债平衡项目0000
负债合计10,397,214,803.911,586,611,987.6211,190,605,636.6712,343,483,508.43
所有者权益(或股东权益):
实收资本(或股本)1,924,156,7401,925,334,1171,925,333,4841,926,658,395
其他权益工具202,121,682.8202,122,785.23202,124,622.61202,141,473.16
资本公积1,818,453,162.832,001,233,245.231,995,228,348.091,997,823,119.89
减:库存股366,752,169.74382,774,936.54391,116,564.94546,326,212.54
其他综合收益202,324,198.56187,772,728.65195,523,128.07201,930,368.53
专项储备73,033,077.8455,095,901.0955,095,901.0956,000,013.46
盈余公积633,188,776.59569,954,271.44569,954,271.44569,954,271.44
未分配利润8,868,018,387.618,790,049,199.48,326,683,960.268,879,883,554.45
归属于母公司股东权益平衡项目0000
归属于母公司股东权益合计13,354,543,856.4913,348,787,311.512,878,827,150.6213,288,064,983.39
少数股东权益225,111,251.49286,250,339.65270,241,226.88330,754,502.62
股东权益平衡项目0000
股东权益合计13,579,655,107.9813,635,037,651.1513,149,068,377.513,618,819,486.01
负债和股东权益合计23,976,869,911.8825,221,649,638.7724,339,674,014.1725,962,302,994.44
公告日期2024-03-262023-10-282023-08-152023-04-18
审计意见(境内)标准无保留意见
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