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合康新能

(300048)

  

流通市值:73.27亿  总市值:73.42亿
流通股本:11.25亿   总股本:11.28亿

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1,165,796,276.021,146,600,780.451,251,416,620.361,250,746,391.04
  交易性金融资产570,452,520.54475,203,493.15--
  应收票据及应收账款1,365,192,194.811,125,999,117.151,300,252,418.371,041,300,777.53
  其中:应收票据37,543,524.346,026,215.6366,731,28461,324,610.45
        应收账款1,327,648,670.511,079,972,901.521,233,521,134.37979,976,167.08
  预付款项17,958,533.8912,054,146.339,818,531.4211,288,254.86
  其他应收款合计16,242,996.0716,307,494.0525,685,385.8917,905,685.7
  其中:应收利息513,750153,194.45--
  存货639,188,816.471,058,869,527.36897,470,628.81994,963,436.21
  合同资产216,331,747.2209,591,095.02219,411,797.69219,095,500.57
  其他流动资产60,998,176.1990,399,704.539,156,849.1862,270,736.63
  流动资产合计4,052,161,261.194,135,025,358.013,743,212,231.723,597,570,782.54
非流动资产:
  其他权益工具投资32,853,076.2332,853,076.2332,853,076.2332,853,076.23
  固定资产546,342,122.95553,576,044.37678,710,630.65654,022,006.52
  在建工程2,157,678.052,063,338.43105,127,331.46121,555,247.58
  使用权资产80,141,504.1681,597,082.4249,970,127.2151,002,187.47
  无形资产176,520,778.46187,656,691.5488,644,566.7893,799,543.52
  商誉25,790,189.1325,790,189.1325,790,189.1325,790,189.13
  长期待摊费用10,873,568.9612,420,270.6712,272,949.9413,816,278.77
  递延所得税资产28,362,636.7729,338,224.0426,163,933.6725,026,884.89
  其他非流动资产15,555,140.3917,138,990.515,989,600.118,279,818.82
  非流动资产合计918,596,695.1942,433,907.331,035,522,405.171,036,145,232.93
  资产总计4,970,757,956.295,077,459,265.344,778,734,636.894,633,716,015.47
流动负债:
  衍生金融负债1,124,733.251,488,028.44539,279.29-
  应付票据及应付账款2,373,725,937.022,615,977,107.082,457,534,717.812,315,328,339.4
  其中:应付票据1,143,669,235.15993,487,441.45872,918,406.45771,692,103.47
        应付账款1,230,056,701.871,622,489,665.631,584,616,311.361,543,636,235.93
  合同负债184,306,522.24137,736,722.4120,842,321.81125,693,956.36
  应付职工薪酬87,787,575.4966,413,927.8749,724,583.42107,062,925.48
  应交税费28,045,057.4516,679,257.4537,223,098.3218,300,755.43
  其他应付款合计276,654,483.46278,427,347.83247,051,333.55239,957,454.54
  其中:应付利息2,169,666.722,169,666.722,169,666.722,169,666.72
  一年内到期的非流动负债12,191,147.8812,041,447.7910,839,804.4310,706,596.76
  其他流动负债17,418,271.7914,287,084.7311,716,797.8314,393,235.83
  流动负债合计2,981,253,728.583,143,050,923.592,935,471,936.462,831,443,263.8
非流动负债:
  租赁负债68,380,123.0668,295,889.6736,013,054.1435,671,782.22
  预计负债6,719,416.197,419,416.195,023,124.315,023,124.31
  递延收益3,418,566.693,522,466.683,626,366.6754,000
  递延所得税负债123,008.6541,625.0914,751.4942,320.67
  非流动负债合计78,641,114.5979,279,397.6344,677,296.6140,791,227.2
  负债合计3,059,894,843.173,222,330,321.222,980,149,233.072,872,234,491
所有者权益(或股东权益):
  实收资本(或股本)1,127,759,8571,118,488,8571,116,701,3571,116,701,357
  资本公积968,470,260.91928,994,735.35922,692,181.18921,550,366.99
  其他综合收益-5,647,923.77-5,647,923.77-5,647,923.77-5,647,923.77
  盈余公积71,015,072.4271,015,072.4271,015,072.4271,015,072.42
  未分配利润-326,868,835.27-329,222,848.9-372,716,714.7-400,406,586.07
  归属于母公司股东权益合计1,834,728,431.291,783,627,892.11,732,043,972.131,703,212,286.57
  少数股东权益76,134,681.8371,501,052.0266,541,431.6958,269,237.9
  股东权益合计1,910,863,113.121,855,128,944.121,798,585,403.821,761,481,524.47
  负债和股东权益合计4,970,757,956.295,077,459,265.344,778,734,636.894,633,716,015.47
公告日期2025-10-252025-08-232025-04-252025-03-26
审计意见(境内)标准无保留意见
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