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上海建工

(600170)

  

流通市值:213.26亿  总市值:213.26亿
流通股本:88.86亿   总股本:88.86亿

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80,356,832,496.87103,501,265,624.9578,323,003,499.6976,931,012,856.16
应收票据及应收账款54,905,590,584.0968,691,108,949.8363,868,516,632.7261,085,808,457.13
其中:应收票据1,789,958,909.281,295,997,843.551,390,329,727.951,124,237,726.73
应收账款53,115,631,674.8167,395,111,106.2862,478,186,904.7759,961,570,730.4
应收款项融资591,895,713.04486,161,552.33396,085,327.49745,214,809.78
预付款项3,234,084,928.792,799,763,233.483,790,793,482.645,439,779,399.26
其他应收款合计6,532,548,123.416,836,288,348.886,708,331,843.716,714,951,927.7
应收股利31,282,320.4531,282,320.45113,418,422.9132,600,000
存货60,304,399,905.0659,916,408,641.5160,467,752,543.6661,964,365,547.92
合同资产43,848,049,198.2442,972,103,750.0244,629,459,143.0146,102,698,830.33
一年内到期的非流动资产1,877,786,315.352,278,352,508.651,870,259,704.761,776,034,330.66
其他流动资产4,692,212,867.154,012,312,836.044,642,827,773.134,327,704,656.25
流动资产平衡项目0000
流动资产合计257,944,735,842.46293,276,942,564.18266,588,190,865.14266,512,772,597.25
非流动资产:
债权投资156,080,681.01154,857,739.88151,647,259.5158,634,986.5
长期应收款24,862,402,477.1724,625,292,992.3820,121,190,997.0220,327,862,599.82
长期股权投资9,828,702,857.769,481,214,776.239,778,474,142.229,768,337,463.88
其他权益工具投资896,870,538.28896,870,538.281,079,247,568.161,078,763,278.87
其他非流动金融资产2,676,528,542.622,662,957,729.73,087,343,069.983,161,426,494.46
投资性房地产4,338,193,301.464,386,004,127.84,732,498,273.674,123,348,563.43
固定资产10,251,439,585.6210,366,723,770.169,743,172,738.729,722,379,483.68
在建工程1,434,661,173.11,465,359,262.011,556,177,418.831,471,742,980.49
使用权资产3,627,663,777.183,778,374,729.193,816,992,359.753,683,404,108.86
无形资产3,840,322,572.794,148,875,242.763,585,072,296.374,023,527,725.68
商誉461,637,681.41461,637,681.41443,010,612.96443,010,612.96
长期待摊费用417,278,595.67439,177,259.81448,177,687.21462,924,123.28
递延所得税资产2,229,490,698.962,215,575,164.382,003,338,762.672,068,458,806.12
其他非流动资产25,716,079,709.328,511,175,263.6635,133,574,314.6232,947,847,107.25
非流动资产平衡项目0000
非流动资产合计90,737,352,192.3393,594,096,277.6595,679,917,501.6893,441,668,335.28
资产平衡项目0000
资产总计348,682,088,034.79386,871,038,841.83362,268,108,366.82359,954,440,932.53
流动负债:
短期借款14,145,119,400.7711,064,710,686.7311,160,162,132.411,716,645,188.52
应付票据及应付账款149,529,010,051.95188,908,833,806.51157,291,010,568.78156,352,412,123.02
其中:应付票据5,115,263,265.953,964,924,6984,113,852,124.195,210,583,525.49
应付账款144,413,746,786184,943,909,108.51153,177,158,444.59151,141,828,597.53
预收款项154,760,193.4120,374,393.1758,946,337.7156,270,581.77
合同负债33,123,593,282.0932,968,333,633.4733,003,415,238.9932,674,604,326.21
应付职工薪酬530,702,468.091,047,535,075.72261,438,388.5368,124,525.67
应交税费3,042,463,455.713,599,945,253.733,380,443,301.153,002,510,618.55
其他应付款合计20,758,623,084.6921,529,795,084.7426,730,615,774.324,621,697,619.48
应付股利17,531,874.9123,466,609.16113,246,500.9423,812,489.66
一年内到期的非流动负债18,399,678,784.0420,794,404,42917,430,906,487.914,126,526,852.03
其他流动负债844,466,420.86958,356,458.63789,977,410.06860,017,514.95
流动负债平衡项目0000
流动负债合计240,528,417,141.61280,892,288,821.7250,106,915,639.79243,778,809,350.2
非流动负债:
长期借款50,451,292,594.7747,634,857,074.7749,372,420,986.0353,799,437,086.09
应付债券2,308,000,0002,308,000,0006,653,000,0006,653,000,000
租赁负债2,839,141,988.682,927,663,628.763,137,941,693.22,966,479,218.52
长期应付款207,332,977.14203,147,547.39444,746,085.36448,313,064.89
长期应付职工薪酬281,441,477.97283,716,707214,805,327.62214,973,958.5
预计负债152,768,185.27154,793,100.73168,807,067.17176,073,750
递延收益216,493,003.57217,674,408.26206,870,852.12212,032,044.25
递延所得税负债360,864,684.03366,150,034.89434,903,426.22434,768,381.35
非流动负债平衡项目0000
非流动负债合计56,817,334,911.4354,096,002,501.860,633,495,437.7264,905,077,503.6
负债平衡项目0000
负债合计297,345,752,053.04334,988,291,323.5310,740,411,077.51308,683,886,853.8
所有者权益(或股东权益):
实收资本(或股本)8,885,939,7448,885,939,7448,885,939,7448,885,939,744
其他权益工具14,606,669,641.1614,656,317,586.3514,651,818,469.4614,702,828,191.69
永续债14,606,669,641.1614,656,317,586.3514,651,818,469.4614,702,828,191.69
资本公积2,744,694,650.682,744,694,650.682,746,473,091.132,746,179,412.36
其他综合收益-440,349,252.41-308,202,754.07-154,411,076.15-186,014,601.88
专项储备17,444,656.5217,988,635.6216,901,862.3516,160,262.8
盈余公积2,989,326,967.42,989,326,967.42,675,248,4912,675,248,491
未分配利润16,761,082,014.7317,075,655,263.6216,714,375,603.216,336,975,136.97
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45,564,808,422.0846,061,720,093.645,536,346,184.9945,177,316,636.94
少数股东权益5,771,527,559.675,821,027,424.735,991,351,104.326,093,237,441.79
股东权益平衡项目0000
股东权益合计51,336,335,981.7551,882,747,518.3351,527,697,289.3151,270,554,078.73
负债和股东权益合计348,682,088,034.79386,871,038,841.83362,268,108,366.82359,954,440,932.53
公告日期2025-04-302025-04-152024-10-312024-08-30
审计意见(境内)标准无保留意见
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