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宁沪高速

(600377)

  

流通市值:467.67亿  总市值:619.64亿
流通股本:38.02亿   总股本:50.38亿

资产负债表

报告期2026-03-312025-12-312025-09-302025-06-30
公司类型通用通用通用通用
流动资产:
  货币资金596,435,206.35611,258,728.57733,822,348.75711,129,095.86
  交易性金融资产3,792,304,549.541,840,869,064.942,922,886,845.784,342,810,000.2
  应收票据及应收账款2,158,217,346.152,104,221,082.32,111,015,669.392,071,725,261.49
  其中:应收票据2,697,012.734,611,048.854,641,669.554,742,057.63
        应收账款2,155,520,333.422,099,610,033.452,106,373,999.842,066,983,203.86
  预付款项28,506,652.199,677,343.7917,953,516.4516,798,791.48
  其他应收款合计75,714,089.5582,235,573.77113,282,507.77277,188,217.62
        应收股利4,704,701.314,272,941.8353,453,041.43-
  存货1,810,749,375.441,876,223,486.591,913,359,700.771,928,964,304.87
  一年内到期的非流动资产061,606,30061,063,938.760,521,577.4
  其他流动资产75,210,065.96160,974,753.4981,978,635.45115,217,276.05
  流动资产合计8,537,137,285.186,747,066,333.457,955,363,163.069,524,354,524.97
非流动资产:
  其他债权投资13,748,570,865.6913,522,480,062.12--
  长期股权投资-13,522,480,062.1213,333,828,013.6913,179,281,738.45
  其他权益工具投资11,613,480,64810,932,768,94710,442,452,90212,111,028,090.5
  其他非流动金融资产1,771,380,375.381,836,841,840.171,906,269,687.171,913,221,618.41
  投资性房地产594,643,438.86530,870,723.47497,919,303.93486,574,223.84
  固定资产8,092,649,720.437,838,822,495.747,159,851,588.747,268,685,380.73
  在建工程473,436,931.14493,189,548.41209,558,365.73205,234,314.07
  使用权资产34,276,910.8635,867,913.0919,287,364.8521,543,023.83
  无形资产54,291,483,698.9153,618,660,834.8250,497,161,674.4750,595,777,152.74
  长期待摊费用3,538,491.414,163,672.987,557,209.28,050,150.8
  递延所得税资产201,443,825.03191,941,249.22205,724,989.93202,089,396.42
  其他非流动资产616,485,533.51636,317,801.09617,457,448.97618,256,670.08
  非流动资产合计91,441,390,439.2289,641,925,088.1184,897,068,548.6886,609,741,759.87
  资产总计99,978,527,724.496,388,991,421.5692,852,431,711.7496,134,096,284.84
流动负债:
  短期借款850,548,013.22500,298,915.78600,351,666.22400,250,278
  应付票据及应付账款2,622,323,438.633,763,410,581.341,295,653,563.361,480,758,778.22
  其中:应付票据---87,300,000
        应付账款2,622,323,438.633,763,410,581.341,295,653,563.361,393,458,778.22
  预收款项35,418,141.8338,339,499.4929,664,224.0525,274,296.31
  合同负债6,796,539.946,796,539.9425,875,718.5324,313,544.21
  应付职工薪酬9,723,139.5810,227,915.296,488,956.577,253,386.79
  应交税费293,682,378.36266,291,300.22381,479,455.02241,356,017.77
  其他应付款合计337,161,281.52335,456,686.36366,169,936.622,830,590,624.97
        应付股利118,662,592.87118,056,221.78156,870,514.44-
  一年内到期的非流动负债1,784,686,475.082,734,581,085.74,267,255,826.658,614,567,965.28
  其他流动负债3,847,676,038.263,820,749,225.263,557,009,441.691,357,430,518.01
  流动负债合计9,788,015,446.4211,476,151,749.3810,529,948,788.7114,981,795,409.56
非流动负债:
  长期借款21,141,615,176.8819,651,587,235.3920,327,132,085.9820,044,013,791.15
  应付债券7,393,956,716.875,995,244,734.285,495,480,750.484,496,461,700.84
  租赁负债29,842,664.3429,842,664.3418,013,530.7818,079,867.85
  长期应付款66,154,813.0866,154,813.0867,984,142.5267,984,142.52
  递延收益125,074,344.52127,721,270.62130,236,621.0244,455,662.46
  递延所得税负债1,623,425,283.981,453,686,427.131,353,337,521.491,758,149,414.8
  其他非流动负债2,607,640,0002,607,640,0002,607,640,0002,607,640,000
  非流动负债合计32,987,708,999.6729,931,877,144.8429,999,824,652.2729,036,784,579.62
  负债合计42,775,724,446.0941,408,028,894.2240,529,773,440.9844,018,579,989.18
所有者权益(或股东权益):
  实收资本(或股本)5,037,747,5005,037,747,5005,037,747,5005,037,747,500
  资本公积9,825,515,062.769,825,515,062.769,822,207,862.439,822,207,862.43
  其他综合收益4,929,329,877.154,400,310,937.743,999,321,802.155,273,951,977.67
  专项储备6,157,944.235,634,728.516,999,735.466,412,058.67
  盈余公积4,553,396,198.464,553,396,198.464,349,371,658.114,349,371,658.11
  未分配利润18,985,973,497.6217,620,027,406.2517,067,285,300.7415,654,061,777.05
  归属于母公司股东权益合计43,338,120,080.2241,442,631,833.7240,282,933,858.8940,143,752,833.93
  少数股东权益13,864,683,198.0913,538,330,693.6212,039,724,411.8711,971,763,461.73
  股东权益合计57,202,803,278.3154,980,962,527.3452,322,658,270.7652,115,516,295.66
  负债和股东权益合计99,978,527,724.496,388,991,421.5692,852,431,711.7496,134,096,284.84
公告日期2026-04-302026-03-302025-10-302025-08-29
审计意见(境内)标准无保留意见
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