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腾远钴业

(301219)

  

流通市值:191.95亿  总市值:195.78亿
流通股本:2.89亿   总股本:2.95亿

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3,610,626,650.563,664,563,683.483,120,379,782.773,374,336,023.52
  衍生金融资产862,9607,124,1405,317,1204,452,640
  应收票据及应收账款383,027,407.94407,133,926.41397,739,981.09350,084,883.57
  其中:应收票据1,341,003.461,001,007.06420,155.46896,951.5
        应收账款381,686,404.48406,132,919.35397,319,825.63349,187,932.07
  应收款项融资292,334,227.89305,013,100.57445,237,980.73260,163,561.93
  预付款项262,262,634.32147,372,090.2691,750,558.79113,890,126.82
  其他应收款合计108,468,177.05128,931,197.91126,735,358.6965,540,381.59
  存货3,399,453,924.493,224,924,296.152,657,382,322.732,641,131,458.74
  一年内到期的非流动资产14,240,454.0510,693,284.2510,693,284.2510,693,284.25
  其他流动资产208,251,038.56208,424,616.17229,448,676.1200,669,591.94
  流动资产合计8,279,527,474.868,104,180,335.27,084,685,065.157,020,961,952.36
非流动资产:
  固定资产3,312,008,655.453,237,739,856.433,128,952,726.433,094,060,021.79
  在建工程363,893,056.86382,836,359.74337,490,208.5356,879,240.56
  使用权资产100,000250,000400,000550,000
  无形资产83,494,934.6580,226,893.5877,649,754.9181,718,298.17
  长期待摊费用438,373.56---
  递延所得税资产97,284,289.74104,439,661.1891,271,575.4988,034,270.13
  其他非流动资产96,377,435.5966,947,749.4655,712,580.5863,007,096.02
  非流动资产合计3,953,596,745.853,872,440,520.393,691,476,845.913,684,248,926.67
  资产总计12,233,124,220.7111,976,620,855.5910,776,161,911.0610,705,210,879.03
流动负债:
  短期借款466,089,096.76533,962,895.34145,425,989.39236,677,074.19
  应付票据及应付账款1,802,062,020.531,656,330,790.61,081,726,709.151,083,477,544.15
  其中:应付票据1,106,326,524.8781,308,532.81511,564,715.83377,949,552.44
        应付账款695,735,495.73875,022,257.79570,161,993.32705,527,991.71
  合同负债86,138,524.6143,202,681.09110,400,708.393,403,075.33
  应付职工薪酬18,657,109.1119,039,392.5517,100,551.0180,521,508.46
  应交税费79,229,423.36121,922,104.8130,090,509.1287,360,196.99
  其他应付款合计133,838,087.78118,337,749.4497,499,608.46113,872,743.89
  一年内到期的非流动负债100,000100,000400,000400,000
  其他流动负债3,489,163.3214,867,081.569,930,924.6409,247.43
  流动负债合计2,589,603,425.462,607,762,695.381,592,575,000.121,606,121,390.44
非流动负债:
  预计负债39,830,20039,830,20039,830,20039,830,200
  递延收益89,949,135.9580,997,338.1681,539,948.9784,051,376.98
  递延所得税负债162,269,646.95150,914,424.43132,944,103.39175,061,014.1
  非流动负债合计292,048,982.9271,741,962.59254,314,252.36298,942,591.08
  负债合计2,881,652,408.362,879,504,657.971,846,889,252.481,905,063,981.52
所有者权益(或股东权益):
  实收资本(或股本)294,717,182294,717,182294,717,182294,717,182
  资本公积5,982,390,970.835,980,177,539.95,968,658,003.525,955,901,044.86
  减:库存股110,339,452.21117,837,336.67117,810,542.29117,810,542.29
  其他综合收益139,205,626.21170,850,731.9213,145,881.45220,555,839.44
  专项储备--314,645.7-
  盈余公积147,358,591147,358,591147,358,591147,358,591
  未分配利润2,903,928,464.482,621,849,489.492,422,888,897.22,299,424,782.5
  归属于母公司股东权益合计9,357,261,382.319,097,116,197.628,929,272,658.588,800,146,897.51
  少数股东权益-5,789,569.96---
  股东权益合计9,351,471,812.359,097,116,197.628,929,272,658.588,800,146,897.51
  负债和股东权益合计12,233,124,220.7111,976,620,855.5910,776,161,911.0610,705,210,879.03
公告日期2025-10-282025-08-192025-04-212025-04-21
审计意见(境内)标准无保留意见
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