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国投资本

(600061)

  

流通市值:448.86亿  总市值:448.86亿
流通股本:63.94亿   总股本:63.94亿

资产负债表

报告期2025-03-312024-12-312024-09-302024-06-30
公司类型通用通用通用通用
流动资产:
货币资金76,911,855,745.779,318,942,506.0873,409,894,790.0361,556,405,283.26
结算备付金33,287,331,650.7132,219,686,608.2631,086,302,009.1523,356,436,005.51
融出资金45,881,154,658.3146,652,403,188.336,427,612,752.7837,841,538,156.32
衍生金融资产334,620,383.95852,813,794.161,636,632,865.963,469,021,660.71
应收票据及应收账款612,997,148.99616,447,177.67856,462,530.71879,369,161.95
其中:应收票据100,000100,000--
应收账款612,897,148.99616,347,177.67856,462,530.71879,369,161.95
预付款项158,158,588.4172,703,447.6293,781,756.2253,680,200.37
其他应收款合计2,399,166,845.742,276,775,872.762,707,598,472.372,559,993,903.44
其中:应收利息---1,011,805.5
应收股利662,354.885,812,900.344,024,083.0393,710,740.66
买入返售金融资产2,106,747,784.795,858,787,210.177,721,907,830.479,951,461,377.75
存货127,904,497.0347,549,462.237,550,293.23131,494,830.52
一年内到期的非流动资产657,699,744.39614,776,039.082,376,604,550.454,483,636,007.26
其他流动资产261,243,016.921,434,368,903.2578,380,524.63494,895,727.04
流动资产其他项目2,063,610,576.852,163,143,916.952,718,634,663.441,965,632,694.68
流动资产平衡项目0000
流动资产合计261,243,194,804.09263,404,731,429.16249,828,471,714.52229,347,451,270.72
非流动资产:
发放委托贷款及垫款759,663,163.5518,022,441.21,388,411,014.951,819,629,114.08
债权投资133,885,932.19557,429,155.91436,571,213.06408,913,200.63
其他债权投资25,049,890,606.5517,305,110,271.2517,562,824,062.2323,075,336,770.24
长期股权投资2,258,840,597.692,235,298,089.242,319,059,501.62,267,073,607.14
其他权益工具投资7,282,394,862.823,419,812,087.272,287,103,343.898,003,624,102.59
其他非流动金融资产4,688,615,207.115,643,097,448.164,913,831,097.365,655,538,656.5
投资性房地产324,632,967.19328,499,063.21344,732,499.31347,964,153.61
固定资产1,455,173,598.581,506,929,368.341,412,214,248.911,433,793,369.35
在建工程41,418,520.5742,622,404.57178,424,903.49176,777,282.35
使用权资产737,450,586.37781,929,358.04828,236,558.43889,298,147.3
无形资产956,106,139.9972,209,287.88914,760,669.1914,923,257.35
开发支出2,902,201.691,552,8004,010,5263,496,326
商誉4,598,942,255.024,598,942,255.024,598,942,255.024,598,942,255.02
长期待摊费用82,824,232.2492,268,980.9196,509,368.89102,214,369.33
递延所得税资产984,569,363.02992,843,014.56584,224,428.75531,486,171.05
非流动资产平衡项目0000
非流动资产合计49,357,310,234.4438,996,566,025.5637,869,855,690.9950,229,010,782.54
资产平衡项目0000
资产总计310,600,505,038.53302,401,297,454.72287,698,327,405.51279,576,462,053.26
流动负债:
短期借款808,602,737.88734,255,291.04558,143,321.35427,740,585.4
拆入资金11,903,690,940.3213,002,434,146.2219,735,272,140.4723,386,073,228.91
交易性金融负债10,737,324,435.738,320,068,177.358,053,058,864.3511,367,497,828.71
衍生金融负债435,300,980.99583,834,644.48858,283,421.36776,594,155.35
应付票据及应付账款192,409,266.85227,549,052.75220,643,218.19220,372,353.4
应付账款192,409,266.85227,549,052.75220,643,218.19220,372,353.4
合同负债24,044,195.2221,931,874.09149,521,120.23172,663,816.4
卖出回购金融资产款49,430,723,499.435,092,681,758.4730,659,099,497.3218,668,490,947.8
应付职工薪酬2,428,023,955.342,191,265,718.492,008,790,358.382,234,826,953.86
应交税费940,192,866.22958,664,318.95279,890,420.41243,796,362.07
其他应付款合计10,097,050,130.3510,874,792,064.114,052,443,648.6514,833,662,155.15
应付股利39,890,410.9622,630,136.994,986,301.37849,728,775.02
代理买卖证券款93,896,742,316.7495,374,478,967.686,044,174,869.5769,141,345,816.32
代理承销证券款351,000-72,310,000160,007,000
应付短期债券15,166,297,904.8615,090,977,721.355,723,688,299.577,773,967,860.25
一年内到期的非流动负债12,575,235,834.818,821,084,708.0925,435,000,238.529,760,092,184.69
流动负债平衡项目0000
流动负债合计208,635,990,064.7201,294,018,442.98193,850,319,418.35179,167,131,248.31
非流动负债:
长期借款3,202,737,777.783,203,144,166.673,202,858,333.333,202,694,777.78
应付债券36,656,070,785.1336,472,575,450.829,489,783,525.4736,302,316,298.27
租赁负债424,806,043.92485,836,874.78549,500,723.53576,965,962.68
长期应付职工薪酬106,917,214.75106,944,414.7582,756,340.4382,740,640.43
预计负债10,466,920.1310,465,972.849,473,293.979,468,793.98
递延收益1,884,237.891,919,755.371,955,272.851,990,790.33
递延所得税负债213,010,661284,109,818.73314,721,292.62325,359,255.35
其他非流动负债2,108,206.682,108,206.682,108,206.682,108,206.68
非流动负债平衡项目0000
非流动负债合计40,618,001,847.2840,567,104,660.6233,653,156,988.8840,503,644,725.5
负债平衡项目0000
负债合计249,253,991,911.98241,861,123,103.6227,503,476,407.23219,670,775,973.81
所有者权益(或股东权益):
实收资本(或股本)6,393,981,3076,393,980,6836,425,311,9536,425,310,802
其他权益工具3,201,582,825.883,201,583,352.483,201,589,847.153,201,590,812.57
永续债2,499,528,301.892,499,528,301.892,499,528,301.892,499,528,301.89
资本公积18,162,406,023.1218,162,400,034.2218,331,077,888.5618,331,066,959.57
减:库存股--185,373,302.31148,812,032.7
其他综合收益300,716,592.5320,569,20196,377,272.06616,129,337.74
盈余公积728,364,642728,364,642644,869,766.89644,869,766.89
一般风险准备6,251,326,031.986,235,693,0685,717,542,799.75,718,274,073.97
未分配利润20,575,815,877.7819,882,036,043.4919,865,156,446.2919,185,724,366.57
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55,614,193,300.2654,924,627,024.1954,096,552,671.3453,974,154,086.61
少数股东权益5,732,319,826.295,615,547,326.936,098,298,326.945,931,531,992.84
股东权益平衡项目0000
股东权益合计61,346,513,126.5560,540,174,351.1260,194,850,998.2859,905,686,079.45
负债和股东权益合计310,600,505,038.53302,401,297,454.72287,698,327,405.51279,576,462,053.26
公告日期2025-04-302025-03-292024-10-312024-08-30
审计意见(境内)标准无保留意见
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