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风神股份

(600469)

  

流通市值:50.41亿  总市值:50.41亿
流通股本:7.29亿   总股本:7.29亿

资产负债表

报告期2025-09-302025-06-302025-03-312024-12-31
公司类型通用通用通用通用
流动资产:
  货币资金908,873,905.74748,293,050.28614,247,297.3912,752,414.49
  应收票据及应收账款1,799,806,774.211,610,022,936.471,618,479,858.11,279,605,633.55
  其中:应收票据483,963,414.2458,210,575.3442,883,673.95485,109,196.05
        应收账款1,315,843,360.011,151,812,361.171,175,596,184.15794,496,437.5
  应收款项融资98,405,649.9563,784,828.2350,045,486.8542,915,834.83
  预付款项52,139,487.0168,535,854.7440,540,382.3858,655,453.26
  其他应收款合计7,466,419.618,862,980.3711,439,923.478,838,569.28
  存货1,258,538,713.741,260,278,119.261,400,246,016.941,404,706,248.13
  其他流动资产73,457,763.6483,039,570.4105,519,719.39113,995,631.25
  流动资产合计4,198,688,713.93,842,817,339.753,840,518,684.433,821,469,784.79
非流动资产:
  长期股权投资414,511,574.29423,024,909.35434,626,523.02441,760,239.98
  其他权益工具投资9,191,0098,601,841.52,990,5252,884,175
  固定资产2,535,609,251.732,526,955,299.672,600,167,952.122,645,870,505.88
  在建工程155,532,881.58143,192,216.1107,003,715.6366,475,144.87
  使用权资产52,210,964.4954,665,851.4456,817,088.6950,997,107.85
  无形资产60,123,374.0848,475,218.643,746,635.543,992,238.47
  长期待摊费用122,839,266.68123,388,984.85126,329,310.53129,047,315.02
  递延所得税资产91,797,371.93100,022,425.25101,048,505.31101,872,987.36
  其他非流动资产203,099,633.76101,622,070.1437,002,286.3920,833,722.81
  非流动资产合计3,644,915,327.543,529,948,816.93,509,732,542.193,503,733,437.24
  资产总计7,843,604,041.447,372,766,156.657,350,251,226.627,325,203,222.03
流动负债:
  短期借款252,876,289.84100,000,000--
  应付票据及应付账款1,987,226,767.711,891,335,879.192,013,752,449.062,075,975,658.29
  其中:应付票据1,092,225,028.13948,115,045.171,040,684,409.371,163,559,435.59
        应付账款895,001,739.58943,220,834.02973,068,039.69912,416,222.7
  合同负债168,886,938148,885,269.03156,616,027.39134,735,752.76
  应付职工薪酬41,456,721.6342,413,270.8148,691,883.3660,186,991.34
  应交税费56,308,535.9656,861,959.8525,333,747.8417,813,899.24
  其他应付款合计174,538,208.01181,815,981.78228,748,901.4230,648,737.77
  一年内到期的非流动负债507,282,536.83658,266,036.58776,060,214.55773,626,290.29
  其他流动负债326,078,920.3184,744,055.76209,223,933.71206,208,868.63
  流动负债合计3,514,654,918.283,264,322,4533,458,427,157.313,499,196,198.32
非流动负债:
  长期借款666,343,000565,549,000402,530,000402,530,000
  租赁负债45,783,058.2345,897,451.8546,195,999.3848,106,221.88
  长期应付款20,000,00020,000,00020,000,00020,000,000
  长期应付职工薪酬1,601,433.21,678,864.62,994,141.063,052,532.62
  预计负债12,960,897.8414,938,994.2811,964,575.4911,809,706.32
  递延收益19,755,201.4720,515,609.9721,276,018.4713,439,031.03
  递延所得税负债38,717,669.4539,944,867.0644,291,655.9743,002,270.64
  非流动负债合计805,161,260.19708,524,787.76549,252,390.37541,939,762.49
  负债合计4,319,816,178.473,972,847,240.764,007,679,547.684,041,135,960.81
所有者权益(或股东权益):
  实收资本(或股本)729,450,871729,450,871729,450,871729,450,871
  资本公积2,631,879,859.352,620,076,256.632,612,201,948.252,596,157,073.03
  其他综合收益-199,654,672.15-191,013,663.13-194,941,925.12-209,177,389.9
  盈余公积366,463,480.07366,463,480.07366,463,480.07366,463,480.07
  未分配利润-4,351,675.3-125,058,028.68-170,602,695.26-198,826,772.98
  归属于母公司股东权益合计3,523,787,862.973,399,918,915.893,342,571,678.943,284,067,261.22
  股东权益合计3,523,787,862.973,399,918,915.893,342,571,678.943,284,067,261.22
  负债和股东权益合计7,843,604,041.447,372,766,156.657,350,251,226.627,325,203,222.03
公告日期2025-10-312025-08-282025-04-302025-04-18
审计意见(境内)标准无保留意见
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