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江淮汽车

(600418)

  

流通市值:1037.41亿  总市值:1070.74亿
流通股本:21.84亿   总股本:22.54亿

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15,886,076,210.9717,140,010,938.1712,006,362,380.0511,077,874,288.55
  交易性金融资产2,821,529,660.682,805,041,103.422,243,177,098.62,353,310,186.28
  应收票据及应收账款4,119,592,769.273,060,716,888.755,346,618,666.324,133,641,534.04
        应收账款4,119,592,769.273,060,716,888.755,346,618,666.324,133,641,534.04
  应收款项融资763,824,540.24740,966,137.29220,686,601.93737,318,368.41
  预付款项464,223,322.94281,907,968.06300,611,655.02376,394,722.51
  其他应收款合计203,074,733.63211,452,119.03314,802,004.73314,981,895.29
        应收股利6,066,2006,066,2004,627,478.9160,575.24
  存货3,445,773,824.343,013,237,671.153,998,067,4764,005,975,452.44
  合同资产24,493,641.9646,023,641.96116,157,631.22117,406,040.62
  一年内到期的非流动资产20,506,439.1919,236,06236,316,709.7136,316,709.71
  其他流动资产1,148,642,417.171,099,663,935.191,182,117,593.121,267,858,220.98
  流动资产合计28,897,737,560.3928,418,256,465.0225,839,852,856.524,496,012,458.63
非流动资产:
  长期应收款210,646,096.46208,177,158.44154,458,084.89155,189,280.86
  长期股权投资4,756,173,353.354,962,579,833.575,565,512,346.255,455,061,708.27
  其他权益工具投资107,632,007.45109,511,426.3197,967,894.1297,995,366.59
  投资性房地产91,162,997.2593,128,129.1894,268,129.5794,748,690.51
  固定资产8,775,350,786.588,964,944,609.968,937,301,494.949,140,506,945.86
  在建工程1,083,266,392.36530,628,371.04438,096,911.15360,172,253
  使用权资产984,528,719.921,053,638,686.381,090,620,640.041,120,430,874.12
  无形资产3,484,405,459.973,665,111,524.883,757,717,807.733,944,435,229.79
  开发支出1,954,307,307.081,546,511,363.661,141,035,616.6807,222,413.59
  长期待摊费用16,293,065.0516,619,229.9513,011,218.9915,146,972.97
  递延所得税资产1,029,545,224.581,012,571,858.71,018,747,001.311,019,817,426.37
  其他非流动资产298,904,669.07297,912,095.4824,160,045.9216,268,008.29
  非流动资产合计22,792,216,079.1222,461,334,287.5522,332,897,191.5122,226,995,170.22
  资产总计51,689,953,639.5150,879,590,752.5748,172,750,048.0146,723,007,628.85
流动负债:
  短期借款135,075,240.92170,697,814.63173,243,394.47150,104,166.66
  应付票据及应付账款25,146,874,907.4726,177,905,291.7522,808,234,689.9521,127,284,929.35
  其中:应付票据15,075,142,504.5414,258,827,893.9211,325,352,297.678,955,424,604.43
        应付账款10,071,732,402.9311,919,077,397.8311,482,882,392.2812,171,860,324.92
  合同负债887,397,814.821,095,246,189.891,039,335,005.5753,922,634.97
  应付职工薪酬572,694,480.56644,738,361.69620,905,911.91533,965,131.88
  应交税费207,888,884.16350,384,973.02217,495,106.18107,804,868.07
  其他应付款合计2,391,847,839.992,952,798,271.052,931,996,885.422,869,872,888.25
        应付股利5,506,17912,856,17912,856,17912,856,179
  一年内到期的非流动负债3,089,766,090.523,618,333,457.013,963,003,313.634,339,383,119.41
  其他流动负债388,844,045.87398,231,985.13412,872,911.04398,321,712.35
  流动负债合计32,820,389,304.3135,408,336,344.1732,167,087,218.130,280,659,450.94
非流动负债:
  长期借款2,967,000,0002,373,000,0002,612,000,0002,313,000,000
  租赁负债897,770,190.64959,968,356.811,009,912,351.161,039,584,867.35
  递延收益1,448,895,324.861,488,618,420.511,519,060,589.961,527,696,355.46
  递延所得税负债1,204,817.231,201,449.241,055,318.41,078,394.27
  非流动负债合计5,314,870,332.734,822,788,226.565,142,028,259.524,881,359,617.08
  负债合计38,135,259,637.0440,231,124,570.7337,309,115,477.6235,162,019,068.02
所有者权益(或股东权益):
  实收资本(或股本)2,254,178,1952,184,009,7912,184,009,7912,184,009,791
  资本公积9,774,271,825.086,362,144,588.316,363,289,798.56,363,035,197.3
  其他综合收益41,045,808.5928,981,223.62-5,412,996.83-5,181,119.5
  专项储备136,994,860.13131,652,816.45135,542,955134,535,250.06
  盈余公积1,672,973,383.441,672,973,383.441,672,973,383.441,672,973,383.44
  一般风险准备37,250,141.1437,250,141.1433,349,186.6733,349,186.67
  未分配利润-1,332,744,751.31-726,753,109.91-454,490,129.76206,909,633.44
  归属于母公司股东权益合计12,583,969,462.079,690,258,834.059,929,261,988.0210,589,631,322.41
  少数股东权益970,724,540.4958,207,347.79934,372,582.37971,357,238.42
  股东权益合计13,554,694,002.4710,648,466,181.8410,863,634,570.3911,560,988,560.83
  负债和股东权益合计51,689,953,639.5150,879,590,752.5748,172,750,048.0146,723,007,628.85
公告日期2026-04-292026-04-042025-10-312025-08-26
审计意见(境内)标准无保留意见
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