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山东高速

(600350)

  

流通市值:502.81亿  总市值:502.81亿
流通股本:48.53亿   总股本:48.53亿

资产负债表

报告期2024-12-312024-09-302024-06-302024-03-31
公司类型通用通用通用通用
流动资产:
货币资金2,763,080,903.653,890,937,468.925,003,147,085.035,804,088,922.41
应收票据及应收账款3,402,952,953.64,460,400,722.464,486,663,498.964,099,671,212.49
其中:应收票据305,607,494.03407,712,570.51653,695,113.32806,254,796.24
应收账款3,097,345,459.574,052,688,151.953,832,968,385.643,293,416,416.25
应收款项融资139,045,333.5430,842,059.15218,162.1119,027,746.72
预付款项502,198,887.1528,326,802.67361,827,185.79411,779,454.51
其他应收款合计3,905,575,116.894,228,882,164.74,145,070,553.253,866,591,625.93
应收股利344,327,788.4542,949,036.06145,127,815.7634,398,645.7
存货896,442,689.56967,755,458.181,108,088,313.03968,453,976.37
合同资产4,319,824,873.494,402,023,188.983,661,826,232.473,435,460,209.78
一年内到期的非流动资产2,876,547,672.241,750,438,531.041,739,424,759.471,682,458,919.34
其他流动资产4,679,878,935.634,381,327,068.554,034,588,353.214,170,830,183.63
流动资产平衡项目0000
流动资产合计24,269,826,264.5625,508,567,821.6125,358,488,500.2825,324,996,608.14
非流动资产:
债权投资3,578,140,685.894,690,753,324.34,038,696,945.844,025,951,798.34
长期应收款480,427,983.9698,589,596.56698,589,596.56925,617,011.72
长期股权投资16,718,350,724.415,528,738,308.4715,475,328,390.115,472,177,807.74
其他权益工具投资478,033,477.39481,475,467.59422,135,467.59425,577,457.79
其他非流动金融资产1,081,459,649.51,081,459,649.51,081,459,649.51,280,459,649.5
投资性房地产1,773,384,278.671,971,588,689.581,620,087,054.461,634,537,087.42
固定资产13,547,479,237.1812,111,449,882.2612,838,576,724.5111,149,040,087.57
在建工程1,056,305,912.7922,744,308.49891,461,339.662,743,867,152.72
使用权资产426,762,120.82218,074,148.5220,652,414.99235,607,913.54
无形资产82,530,216,012.8577,310,611,124.1276,571,587,814.3274,305,311,535.46
开发支出-1,419,462.48-2,423,091.94
商誉361,131,042.33568,600,268.09568,600,268.09569,931,181.65
长期待摊费用93,061,859.6374,190,407.6374,844,186.9382,069,088.06
递延所得税资产1,240,537,133.891,093,147,453.281,093,447,358.361,076,796,264.34
其他非流动资产14,052,736,385.8214,166,987,142.5613,770,409,981.7214,156,214,852.94
非流动资产平衡项目0000
非流动资产合计137,418,026,504.97130,919,829,233.41129,365,877,192.63128,085,581,980.73
资产平衡项目0000
资产总计161,687,852,769.53156,428,397,055.02154,724,365,692.91153,410,578,588.87
流动负债:
短期借款2,992,150,019.952,668,690,476.312,067,643,887.92,700,571,209.21
应付票据及应付账款17,832,271,649.1115,565,227,486.5114,617,246,715.0313,362,144,423.6
其中:应付票据549,988,282.06730,527,913.13750,884,692.511,102,614,232.96
应付账款17,282,283,367.0514,834,699,573.3813,866,362,022.5212,259,530,190.64
预收款项46,072,262.4200,962,850.26176,363,023.8196,501,196.69
合同负债515,094,860.22355,000,061.82276,144,831.92249,690,653.82
应付职工薪酬222,617,337.73171,741,869.45166,766,648.14201,044,030.02
应交税费556,776,303.44659,968,960.51548,020,472.8456,212,333.23
其他应付款合计5,182,383,359.45,659,686,585.586,132,168,669.65,467,700,778.55
应付股利261,937,541.22324,401,666.081,014,075,983.92272,980,450.95
一年内到期的非流动负债6,600,205,780.674,741,948,185.924,920,965,643.954,604,893,186.64
其他流动负债3,292,238,628.913,377,325,128.273,767,360,223.985,142,184,073.91
流动负债平衡项目0000
流动负债合计37,239,810,201.8333,400,551,604.6332,672,680,117.1332,280,941,885.67
非流动负债:
长期借款53,732,286,472.2754,097,276,002.2955,199,329,839.2254,785,749,345.4
应付债券6,000,000,0007,000,000,0006,000,000,0003,500,000,000
租赁负债200,066,410.23157,082,291.55143,006,205.76159,736,572.27
长期应付款1,860,158,016.362,102,925,567.962,064,597,962.92,061,691,252.86
长期应付职工薪酬243,591,423.25190,275,785.67188,708,020.41196,662,765.59
预计负债322,176,327.35120,355,649.77101,868,384.61126,868,384.61
递延收益2,344,570,926.092,367,211,073.922,389,062,052.722,401,651,771.52
递延所得税负债2,432,152,478.142,139,121,878.742,163,806,613.292,157,649,043.49
其他非流动负债17,108,019.19--63,000,000
非流动负债平衡项目0000
非流动负债合计67,152,110,072.8868,174,248,249.968,250,379,078.9165,453,009,135.74
负债平衡项目0000
负债合计104,391,920,274.71101,574,799,854.53100,923,059,196.0497,733,951,021.41
所有者权益(或股东权益):
实收资本(或股本)4,852,081,0254,852,081,0254,840,397,6274,840,397,627
其他权益工具13,500,000,00012,500,000,00012,500,000,00012,699,970,000
永续债13,500,000,00012,500,000,00012,500,000,00012,699,970,000
资本公积574,713,019.17550,659,097.7529,966,729.25531,355,576.8
其他综合收益198,228,688.02141,090,954.68123,206,703.1684,299,097.05
专项储备101,421,651.98108,043,008.91111,439,602.83111,269,063.64
盈余公积2,951,190,150.742,642,427,399.732,642,427,399.732,666,062,173.79
未分配利润21,110,015,534.0520,883,011,569.8120,144,987,678.0321,459,823,672.17
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43,287,650,068.9641,677,313,055.8340,892,425,74042,393,177,210.45
少数股东权益14,008,282,425.8613,176,284,144.6612,908,880,756.8713,283,450,357.01
股东权益平衡项目0000
股东权益合计57,295,932,494.8254,853,597,200.4953,801,306,496.8755,676,627,567.46
负债和股东权益合计161,687,852,769.53156,428,397,055.02154,724,365,692.91153,410,578,588.87
公告日期2025-04-042024-10-302024-08-312024-04-30
审计意见(境内)标准无保留意见
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