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华资实业

(600191)

  

流通市值:61.78亿  总市值:61.78亿
流通股本:4.85亿   总股本:4.85亿

资产负债表

报告期2025-12-312025-09-302025-06-302025-03-31
公司类型通用通用通用通用
流动资产:
  货币资金90,147,363.4558,827,108.3846,301,602.917,707,817.94
  应收票据及应收账款41,243,389.3836,315,229.943,851,117.9714,720,394.68
  其中:应收票据18,892,591.631,990,869.495,507,665-
        应收账款22,350,797.7534,324,360.4138,343,452.9714,720,394.68
  应收款项融资2,140,532.79626,777.1-46,857,842.9
  预付款项5,849,805.2114,841,062.249,185,957.0137,907,268.88
  其他应收款合计15,556,991.9319,473,521.2983,406609,853.09
  存货93,138,249.0679,919,629.2770,368,623.2134,277,617.15
  一年内到期的非流动资产10,623,281.09---
  其他流动资产32,351,616.9234,530,488.4130,381,111.6529,937,226.75
  流动资产合计310,490,913.94244,533,816.5201,071,818.74182,018,021.39
非流动资产:
  长期应收款21,031,680.1536,156,708.834,864,0005,004,000
  长期股权投资1,017,834,752.641,029,556,543.981,011,578,316.921,002,241,369.7
  投资性房地产4,517,132.764,559,978.2328,574,079.3229,385,811.44
  固定资产810,255,202.07745,924,412.47727,761,192.2295,860,113.61
  在建工程825,973.1781,108,383.85100,693,527.63738,345,053.4
  使用权资产86,975,790.790,480,547.8893,893,181.1197,300,297.97
  无形资产31,577,587.3331,946,565.4831,528,151.3531,861,459.28
  长期待摊费用7,408,288.838,296,743.147,211,110.177,974,200.05
  递延所得税资产35,452,930.948,474,744.1347,869,667.948,753,055.67
  其他非流动资产19,233,282.86589,365.611,142,335.362,944,947.72
  非流动资产合计2,035,112,621.412,077,093,993.62,055,115,561.982,059,670,308.84
  资产总计2,345,603,535.352,321,627,810.12,256,187,380.722,241,688,330.23
流动负债:
  短期借款89,074,494.9289,120,713.8289,102,878.1295,016,777.93
  应付票据及应付账款91,729,564.56162,120,417.44165,421,588.97162,009,860.87
        应付账款91,729,564.56162,120,417.44165,421,588.97162,009,860.87
  预收款项45,301,788.04764,900.381,007,345.111,377,055.44
  合同负债2,961,050.456,730,009.284,869,708.721,284,436.81
  应付职工薪酬6,967,980.838,314,146.537,951,412.837,719,163.79
  应交税费3,738,128.836,746,803.982,980,901.47353,732.01
  其他应付款合计164,707,496.7951,169,666.0921,233,217.85,187,404.18
  一年内到期的非流动负债63,495,337.7878,630,891.674,393,339.3441,414,343.76
  其他流动负债19,494,556.42923,323.225,617,736.3434,917,357
  流动负债合计487,470,398.62404,520,872.34372,578,128.7349,280,131.79
非流动负债:
  长期借款42,687,264.5749,800,539.1149,800,539.1169,957,562.39
  租赁负债72,895,983.280,565,180.4879,434,644.6685,728,795.76
  长期应付款43,381,755.3766,415,750.8983,343,319.6962,259,904
  递延收益3,860,0003,860,0003,860,0003,860,000
  递延所得税负债29,842.3923,465,656.6123,482,233.4224,340,548.02
  非流动负债合计162,854,845.53224,107,127.09239,920,736.88246,146,810.17
  负债合计650,325,244.15628,627,999.43612,498,865.58595,426,941.96
所有者权益(或股东权益):
  实收资本(或股本)484,932,000484,932,000484,932,000484,932,000
  资本公积581,729,634.2581,062,236.94581,062,236.94581,062,236.94
  其他综合收益-3,525,753.21-3,385,557.73176,143-3,664,219.21
  盈余公积140,224,129.35140,224,129.35140,224,129.35140,224,129.35
  未分配利润491,918,280.86490,167,002.11437,294,005.85443,707,241.19
  归属于母公司股东权益合计1,695,278,291.21,692,999,810.671,643,688,515.141,646,261,388.27
  股东权益合计1,695,278,291.21,692,999,810.671,643,688,515.141,646,261,388.27
  负债和股东权益合计2,345,603,535.352,321,627,810.12,256,187,380.722,241,688,330.23
公告日期2026-04-212025-10-312025-08-302025-04-30
审计意见(境内)标准无保留意见
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