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上汽集团

(600104)

  

流通市值:1807.06亿  总市值:1807.06亿
流通股本:114.95亿   总股本:114.95亿

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190,852,426,355.41191,033,551,959.19193,806,042,649.92197,978,171,793.49
  交易性金融资产58,904,230,387.0455,829,064,880.3843,423,968,010.862,278,094,659.45
  应收票据及应收账款81,500,525,785.3380,032,530,170.2974,534,450,165.7275,135,667,936.76
  其中:应收票据2,893,603,738.734,717,980,136.83,308,636,619.485,467,687,054.04
        应收账款78,606,922,046.675,314,550,033.4971,225,813,546.2469,667,980,882.72
  应收款项融资17,187,884,914.716,049,906,507.8714,663,123,794.2414,978,554,937.76
  预付款项20,127,247,294.7716,236,556,598.3323,649,755,425.8428,240,446,691.61
  其他应收款合计13,569,026,918.316,066,164,233.9519,261,751,662.5915,996,778,220.98
  其中:应收利息496,722,539.61410,570,867.611,775,561,741.481,994,718,706.47
        应收股利3,726,832,006.125,463,117,981.422,161,373,238.861,837,388,304.82
  买入返售金融资产14,163,441,137.224,960,909,615.92-6,292,602,589.91
  存货75,091,026,562.4775,856,565,127.8873,913,213,791.8277,277,245,777.65
  一年内到期的非流动资产36,133,086,779.4536,018,843,334.2367,230,596,132.556,801,368,369.93
  其他流动资产84,469,127,841.3783,749,716,967.6865,923,802,826.5167,139,720,011.1
  流动资产合计592,009,571,100.22575,842,477,600.51576,418,621,492.34602,142,305,536.89
非流动资产:
  发放委托贷款及垫款45,874,544,514.5545,678,947,915.8348,864,809,576.2452,794,503,972.87
  债权投资16,061,995,933.3613,788,824,004.5511,052,912,798.5212,862,102,846.02
  其他债权投资10,227,031,374.59,897,361,998.7110,223,163,324.34627,084,958.34
  长期应收款7,642,505,508.137,904,766,263.078,589,743,506.339,682,974,285.84
  长期股权投资56,312,978,001.3856,233,319,617.0759,189,408,746.7360,363,268,612.18
  其他权益工具投资19,011,091,203.2420,273,909,106.8818,800,542,938.2218,265,078,591.61
  其他非流动金融资产25,849,950,126.7225,081,614,916.3124,705,490,027.3926,546,676,077.58
  投资性房地产1,753,102,278.261,831,347,729.331,917,579,434.362,280,078,502.37
  固定资产81,788,113,422.7482,737,906,148.8283,089,579,013.2184,311,765,187.25
  在建工程11,234,674,861.0511,693,491,383.5611,114,736,524.2911,409,490,448.01
  使用权资产12,709,957,182.1412,107,046,379.6611,340,446,566.9111,615,554,869.25
  无形资产19,931,586,017.0520,449,160,312.6220,316,669,736.719,403,104,354.52
  开发支出4,746,055,664.34,466,821,730.663,905,579,188.524,418,946,155.91
  商誉1,183,122,320.471,183,122,320.471,198,210,116.591,198,210,116.59
  长期待摊费用2,342,727,471.982,267,281,717.012,650,052,136.582,076,839,445.26
  递延所得税资产30,243,344,935.130,331,631,126.530,133,343,887.8729,887,946,633.42
  其他非流动资产3,527,945,505.433,888,203,474.593,786,987,587.327,257,487,137.78
  非流动资产合计350,440,726,320.4349,814,756,145.64350,879,255,110.12355,001,112,194.8
  资产总计942,450,297,420.62925,657,233,746.15927,297,876,602.46957,143,417,731.69
流动负债:
  短期借款36,657,407,459.2345,641,244,846.3261,103,291,252.1753,689,722,318.91
  吸收存款及同业存放45,461,391,864.0341,310,081,536.4344,616,080,469.9654,689,317,860.05
  拆入资金14,779,849,929.0117,654,708,652.8623,210,820,141.4225,965,957,767.65
  交易性金融负债32,767,115.0451,151,026.517,117,845.8614,769,175.6
  应付票据及应付账款242,008,920,666.55230,553,384,348.77226,287,219,565.99241,143,897,333.22
  其中:应付票据76,923,426,861.5571,130,786,734.8167,311,265,710.8678,522,336,327.12
        应付账款165,085,493,805159,422,597,613.96158,975,953,855.13162,621,561,006.1
  合同负债31,168,577,790.128,799,938,344.0625,488,538,276.6522,094,884,549.59
  卖出回购金融资产款--4,038,935,204.73-
  应付职工薪酬10,867,656,631.79,822,451,4348,757,401,277.4512,105,994,883.39
  应交税费4,207,701,340.823,477,968,605.614,472,115,6705,164,374,767.44
  其他应付款合计72,221,223,741.3563,931,782,721.6445,144,612,513.6553,943,740,294.56
  其中:应付利息79,486,493.55112,152,173.9122,335,631.3717,033,690.42
        应付股利4,336,789,317.514,761,241,538.491,427,097,767.281,641,491,124.34
  一年内到期的非流动负债44,786,145,131.8742,520,186,094.8338,844,742,388.4639,267,240,288.3
  其他流动负债4,248,257,604.63,939,848,783.983,473,574,391.293,849,512,690.65
  流动负债合计506,439,899,274.3487,702,746,395485,454,448,997.63511,929,411,929.36
非流动负债:
  长期借款16,225,928,584.5518,513,539,960.4426,714,348,74336,138,470,377.08
  应付债券5,000,000,0005,003,779,1004,600,247,7004,660,817,604.7
  租赁负债13,308,347,285.6112,717,110,506.0911,861,291,698.9411,888,651,247.87
  长期应付款1,022,669,970.3993,833,690.44992,073,983.341,150,021,568.14
  长期应付职工薪酬4,596,921,749.584,601,539,045.534,588,782,971.484,621,567,901.74
  预计负债20,536,705,623.0719,688,338,478.5119,466,822,418.5720,872,130,520.43
  递延收益12,400,561,999.4413,093,004,936.5412,772,948,413.8512,427,868,204.48
  递延所得税负债5,335,617,796.024,538,670,060.834,000,090,995.083,481,806,646.96
  其他非流动负债2,271,886,686.732,364,768,964.22,480,671,580.953,237,690,399.9
  非流动负债合计80,698,639,695.381,514,584,742.5887,477,278,505.2198,479,024,471.3
  负债合计587,138,538,969.6569,217,331,137.58572,931,727,502.84610,408,436,400.66
所有者权益(或股东权益):
  实收资本(或股本)11,495,277,50411,575,299,44511,575,299,44511,575,299,445
  资本公积55,258,760,44956,648,309,266.8856,666,659,387.956,647,851,580.72
  减:库存股1,000,225,700.942,500,541,556.292,500,541,556.292,500,541,556.29
  其他综合收益12,140,007,972.0914,023,550,909.2912,728,370,654.5111,585,147,570.24
  专项储备912,738,330.87914,559,897.42911,774,073.91911,027,081.09
  盈余公积40,843,171,648.5140,843,171,648.5140,843,171,648.5140,843,171,648.51
  一般风险准备3,916,451,499.853,916,698,677.123,918,652,189.853,919,333,696.48
  未分配利润171,957,164,788.44169,873,560,344.5167,881,999,566.13164,858,805,507.37
  归属于母公司股东权益合计295,523,346,491.82295,294,608,632.43292,025,385,409.52287,840,094,973.12
  少数股东权益59,788,411,959.261,145,293,976.1462,340,763,690.158,894,886,357.91
  股东权益合计355,311,758,451.02356,439,902,608.57354,366,149,099.62346,734,981,331.03
  负债和股东权益合计942,450,297,420.62925,657,233,746.15927,297,876,602.46957,143,417,731.69
公告日期2025-10-312025-08-292025-04-302025-04-30
审计意见(境内)标准无保留意见
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