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大禹节水

(300021)

  

流通市值:40.50亿  总市值:47.44亿
流通股本:8.73亿   总股本:10.22亿

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1,024,232,347.41,202,217,262.081,253,172,227.581,688,301,705.63
  交易性金融资产2,332,764.92110,595,732.65142,645,099.5531,665,145.87
  应收票据及应收账款2,795,795,174.12,905,342,987.912,948,989,098.993,221,636,388.58
  其中:应收票据424,1102,274,506.395,080,101.161,066,803.6
        应收账款2,795,371,064.12,903,068,481.522,943,908,997.833,220,569,584.98
  预付款项98,573,293.5988,351,578.57103,566,801.2580,008,020.14
  其他应收款合计121,716,886.51112,738,444.54100,262,427.2296,182,389
        应收股利5,565,553.255,565,553.257,126,153.255,565,553.25
  存货364,206,268.75429,653,562.67424,258,464.7329,061,091.06
  合同资产1,942,003,823.331,598,324,889.691,415,816,385.681,339,747,151.27
  其他流动资产149,575,879.42127,652,032.48119,539,078.6467,266,586.6
  流动资产合计6,498,436,438.026,574,876,490.596,508,249,583.616,853,868,478.15
非流动资产:
  长期应收款281,563,045.72281,450,461.78277,365,939.18281,453,634.81
  长期股权投资536,703,023.96469,828,015.87470,758,751.83476,420,406.81
  其他权益工具投资42,163,661.6442,099,792.338,662,107.9338,633,087.17
  其他非流动金融资产7,137,940.597,143,806.657,149,164.427,151,803.02
  固定资产377,367,963.85382,980,108.87386,506,539.91393,616,598.38
  在建工程31,221,241.4821,024,659.1817,836,137.5617,357,674.16
  生产性生物资产2,088,373.722,149,315.592,058,615.242,271,199.32
  使用权资产34,244,030.5738,664,913.6845,124,230.5251,566,074.9
  无形资产433,477,104.91440,549,989.87452,551,932.9455,342,355.07
  开发支出32,286,480.2424,586,750.2922,087,1379,078,071.29
  商誉105,815,153.55105,815,153.55105,815,153.55105,815,153.55
  长期待摊费用23,177,435.3424,484,043.3426,790,884.3527,557,769.16
  递延所得税资产87,824,379.8588,643,940.7588,517,214.1792,252,836.36
  其他非流动资产700,452,564.66650,872,932.98568,916,396.08536,350,018.77
  非流动资产合计2,695,522,400.082,580,293,884.72,510,140,204.642,494,866,682.77
  资产总计9,193,958,838.19,155,170,375.299,018,389,788.259,348,735,160.92
流动负债:
  短期借款1,335,100,084.251,304,702,415.251,093,304,686.161,116,093,022.51
  应付票据及应付账款3,121,813,061.653,068,923,196.393,019,957,934.43,355,431,956.26
  其中:应付票据235,927,854.14295,574,516.9400,862,608.26287,455,001.09
        应付账款2,885,885,207.512,773,348,679.492,619,095,326.143,067,976,955.17
  合同负债248,249,203.98260,401,121.6299,336,959.15366,083,754.69
  应付职工薪酬18,980,565.6419,206,633.7619,282,127.0423,903,917.8
  应交税费34,990,064.7210,129,741.639,804,833.48112,164,016.49
  其他应付款合计73,773,626.574,413,042.4586,780,906.8380,925,272.09
        应付股利-299,880--
  一年内到期的非流动负债257,497,958.6354,433,668.23264,580,463.59268,871,839.31
  其他流动负债219,024,557.98201,885,204.66229,366,440.33168,118,254
  流动负债合计5,309,429,123.325,294,095,023.945,052,414,350.985,491,592,033.15
非流动负债:
  长期借款859,534,980.61761,880,380.23787,875,480.3694,248,695.81
  应付债券-452,297,079.16611,806,464.88601,388,623.04
  租赁负债19,148,370.0526,799,164.325,737,529.7828,979,625.49
  长期应付款124,981,854.76122,981,854.76119,981,954.76120,000,000
  预计负债947,935.511,860,283.55,068,388.698,339,917.34
  递延收益71,230,603.7373,397,350.2866,371,646.3968,672,143.39
  递延所得税负债3,318,633.073,387,978.12,688,713.853,085,819.64
  非流动负债合计1,079,162,377.731,442,604,090.331,619,530,178.651,524,714,824.71
  负债合计6,388,591,501.056,736,699,114.276,671,944,529.637,016,306,857.86
所有者权益(或股东权益):
  实收资本(或股本)1,022,367,469896,717,698853,762,064853,753,116
  其他权益工具-114,798,093.66157,936,242.91157,944,511.08
  资本公积1,032,000,625.13647,943,285.54493,054,552.86493,022,219.97
  减:库存股69,817,874.2769,817,874.2730,495,491.5730,241,895.51
  其他综合收益10,409,130.2910,354,841.357,426,360.727,408,141.99
  盈余公积81,055,551.1581,055,551.1581,055,551.1581,055,551.15
  未分配利润446,796,762.78448,313,977.96496,875,850.04488,594,956.57
  归属于母公司股东权益合计2,522,811,664.082,129,365,573.392,059,615,130.112,051,536,601.25
  少数股东权益282,555,672.97289,105,687.63286,830,128.51280,891,701.81
  股东权益合计2,805,367,337.052,418,471,261.022,346,445,258.622,332,428,303.06
  负债和股东权益合计9,193,958,838.19,155,170,375.299,018,389,788.259,348,735,160.92
公告日期2025-10-282025-08-262025-04-282025-04-23
审计意见(境内)标准无保留意见
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