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杭萧钢构

(600477)

  

流通市值:71.24亿  总市值:71.24亿
流通股本:23.59亿   总股本:23.59亿

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374,035,605.71345,312,350.08572,477,087.95454,495,740.32
  应收票据及应收账款1,794,047,103.652,527,826,116.282,686,579,154.592,793,670,611.17
  其中:应收票据12,190,257.653,236,321.0752,510,205.8151,781,881.64
        应收账款1,781,856,846.052,474,589,795.212,634,068,948.782,741,888,729.53
  应收款项融资9,982,528.2220,713,543.3613,371,040.227,335,866.08
  预付款项103,146,836.2783,323,257.97111,461,439.03123,239,082.63
  其他应收款合计102,967,005.5103,043,202.3693,837,611.2162,332,492.8
  存货524,720,829.78485,058,633.05602,238,644.2662,372,044.12
  合同资产4,945,421,427.065,319,536,765.625,620,408,052.985,715,874,771.04
  一年内到期的非流动资产36,552,128.2251,816,092.79--
  其他流动资产77,889,655.0873,376,923.69108,023,172.73153,045,230.57
  流动资产合计7,968,763,119.499,010,006,885.29,808,396,202.910,072,365,838.73
非流动资产:
  长期股权投资42,890,970.9338,375,256.2641,716,588.539,311,082.04
  其他权益工具投资430,173,709.82435,173,709.82511,605,538.08511,605,538.08
  投资性房地产50,164,440.6832,381,972.2634,593,239.8335,379,867.28
  固定资产3,069,693,315.053,101,641,614.33,036,009,012.052,930,594,943.56
  在建工程239,557,774.79251,888,763.48394,455,622.46529,439,013.77
  使用权资产8,897,991.669,593,568.846,750,119.478,074,251.23
  无形资产758,236,640763,271,984.67756,932,549.31772,052,400.08
  开发支出1,698,766.8717,362,797.5715,645,201.6214,293,119.92
  长期待摊费用13,455,509.6814,689,587.5619,866,736.0821,590,536.55
  递延所得税资产523,640,513.77520,996,655.33490,675,190.99490,633,565.09
  其他非流动资产362,497,172.88417,985,255.29369,582,139.78397,193,265.88
  非流动资产合计5,500,906,806.135,603,361,165.385,677,831,938.175,750,167,583.48
  资产平衡项目00-0.010
  资产总计13,469,669,925.6214,613,368,050.5815,486,228,141.0615,822,533,422.21
流动负债:
  短期借款2,897,182,469.73,529,638,795.083,944,108,290.513,860,263,653.96
  应付票据及应付账款2,792,415,834.463,165,570,065.323,295,121,762.483,441,808,295.79
  其中:应付票据339,050,167.74193,595,352.46270,856,787.71216,239,644.47
        应付账款2,453,365,666.722,971,974,712.863,024,264,974.773,225,568,651.32
  预收款项--12,701.03-
  合同负债255,064,472.36271,039,766.21251,404,708.86388,541,083.34
  应付职工薪酬149,338,530.61171,315,539.86150,143,242.37137,474,434.6
  应交税费72,856,113.993,654,305.3487,662,295.9865,945,686.64
  其他应付款合计88,654,652.4391,380,520.79147,032,257.32195,673,631.4
  其中:应付利息--71,25063,333.33
        应付股利21,892,00018,440,00095,113,179.34118,653,895.26
  一年内到期的非流动负债419,840,186.45589,715,571.76279,457,852.9323,541,757.02
  其他流动负债348,310,589.29367,590,895.77372,747,771.99406,417,391.65
  流动负债合计7,023,662,849.28,279,905,460.138,527,690,883.448,819,665,934.4
非流动负债:
  长期借款959,830,505.94824,939,731.561,328,979,040.711,300,981,005.17
  租赁负债8,984,434.849,338,930.568,452,683.298,876,617.6
  预计负债889,244.58889,244.58889,244.58889,244.58
  递延收益203,479,513.16203,799,547.46207,921,035.36212,323,851.92
  递延所得税负债6,063,290.17,070,963.0410,625,071.210,961,507.72
  其他非流动负债-1,588,856.181,588,856.1820,254,923.2
  非流动负债合计1,179,246,988.621,047,627,273.381,558,455,931.321,554,287,150.19
  负债合计8,202,909,837.829,327,532,733.5110,086,146,814.7610,373,953,084.59
所有者权益(或股东权益):
  实收资本(或股本)2,358,968,4362,368,966,1502,368,966,1502,368,966,150
  资本公积702,603,856.35730,596,408.99744,958,701.84744,070,235.14
  减:库存股-36,482,462.4536,482,462.4536,482,462.45
  其他综合收益-335,391,984.53-335,594,694.34-270,623,591.12-270,838,904.16
  专项储备6,754,741.687,247,436.27,544,932.499,055,251.66
  盈余公积558,293,687.18558,293,687.18520,603,435.02520,603,435.02
  未分配利润1,698,314,691.211,676,413,294.041,746,629,881.461,786,778,865.87
  归属于母公司股东权益平衡项目000-0.01
  归属于母公司股东权益合计4,989,543,427.894,969,439,819.625,081,597,047.245,122,152,571.07
  少数股东权益277,216,659.91316,395,497.45318,484,279.07326,427,766.55
  股东权益合计5,266,760,087.85,285,835,317.075,400,081,326.315,448,580,337.62
  负债和股东权益合计13,469,669,925.6214,613,368,050.5815,486,228,141.0615,822,533,422.21
公告日期2026-04-302026-04-172025-10-312025-08-26
审计意见(境内)标准无保留意见
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