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华融化学

(301256)

  

流通市值:51.84亿  总市值:51.84亿
流通股本:4.80亿   总股本:4.80亿

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206,759,497.44427,428,592.76310,546,366.47228,530,162.14
  交易性金融资产1,279,098,264.351,153,259,803.271,253,085,282.731,723,897,191.78
  应收票据及应收账款300,704,347.83301,330,211.88257,897,844.65260,328,228.19
  其中:应收票据189,675,117.52204,345,866.72180,067,302.45159,827,279.77
        应收账款111,029,230.3196,984,345.1677,830,542.2100,500,948.42
  应收款项融资37,433,007.140,401,524.6233,094,862.8816,187,894.55
  预付款项51,692,939.3351,430,197.3191,547,010.8366,482,999.07
  其他应收款合计4,065,069.053,948,328.993,650,889.724,480,765.5
  存货66,718,106.2192,434,537.0172,219,410.3739,238,794.24
  合同资产--0-
  其他流动资产1,365,884.42,730,0755,370,006.39983,354.44
  流动资产合计1,947,837,115.712,072,963,270.842,027,411,674.042,340,129,389.91
非流动资产:
  固定资产243,459,820.58244,410,313.68245,598,179.02250,665,026.13
  在建工程62,678,077.4940,589,198.4635,217,008.7927,741,442.81
  使用权资产2,078,353.341,390,074.711,640,280.251,890,485.78
  无形资产21,528,749.5222,140,819.323,013,759.6222,982,206.56
  开发支出3,894,261.483,177,017.122,714,276.471,733,169.24
  长期待摊费用18,592,969.7119,259,614.1220,150,352.5221,379,674.53
  递延所得税资产6,047,430.216,328,163.416,167,793.437,589,157.9
  其他非流动资产6,836,320.220,642,714.429,347,022.177,858,434.88
  非流动资产合计365,115,982.53357,937,915.22343,848,672.27341,839,597.83
  资产总计2,312,953,098.242,430,901,186.062,371,260,346.312,681,968,987.74
流动负债:
  短期借款385,746,360.18435,949,578.11409,658,340.58767,854,910.75
  应付票据及应付账款36,982,002.5638,872,306.9156,064,926.458,927,980.65
  其中:应付票据1,848,129--100,000
        应付账款35,133,873.5638,872,306.9156,064,926.458,827,980.65
  合同负债17,591,769.2335,081,768.6522,119,529.9614,312,751.51
  应付职工薪酬19,710,770.7719,228,281.2828,070,274.6324,107,745.68
  应交税费7,638,510.746,856,746.342,756,673.449,698,257.38
  其他应付款合计6,921,534.867,459,012.469,790,400.2930,393,439.42
        应付股利---24,000,000
  一年内到期的非流动负债675,825.78408,706.13403,896.92763,504.96
  其他流动负债130,419,744.51140,142,900.2110,795,273.1181,052,480.41
  流动负债合计605,686,518.63683,999,300.08639,659,315.33987,111,070.76
非流动负债:
  租赁负债239,486.01-71,117.6142,697.68
  预计负债--307,176.07-
  递延所得税负债268,970.21219,073.2186,331.44373,786.66
  非流动负债合计508,456.22219,073.2564,625.11516,484.34
  负债合计606,194,974.85684,218,373.28640,223,940.44987,627,555.1
所有者权益(或股东权益):
  实收资本(或股本)480,000,000480,000,000480,000,000480,000,000
  资本公积876,956,671.44876,956,671.44876,956,671.44876,956,671.44
  其他综合收益23,240.1234,620.5936,008.3-
  专项储备879,529.74374,704.27429,825.56279,109.2
  盈余公积40,969,446.8840,969,446.8840,969,446.8840,665,804.63
  未分配利润307,929,235.21348,347,369.6332,644,453.69296,439,847.37
  归属于母公司股东权益合计1,706,758,123.391,746,682,812.781,731,036,405.871,694,341,432.64
  股东权益合计1,706,758,123.391,746,682,812.781,731,036,405.871,694,341,432.64
  负债和股东权益合计2,312,953,098.242,430,901,186.062,371,260,346.312,681,968,987.74
公告日期2025-08-132025-04-222025-03-252024-10-22
审计意见(境内)标准无保留意见
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