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精工钢构

(600496)

  

流通市值:65.28亿  总市值:65.28亿
流通股本:19.90亿   总股本:19.90亿

资产负债表

报告期2025-03-312024-12-312024-09-302024-06-30
公司类型通用通用通用通用
流动资产:
货币资金5,326,031,625.835,200,925,142.944,917,582,751.774,874,033,778.23
应收票据及应收账款3,849,665,369.324,158,028,480.023,493,002,011.533,357,903,073.58
其中:应收票据357,200,743.44166,923,362.692,293,377.04167,224,065.24
应收账款3,492,464,625.883,991,105,117.423,400,708,634.493,190,679,008.34
应收款项融资75,632,761.2188,589,868.1389,024,833.0127,469,386.62
预付款项608,582,173.07512,061,057.28665,557,499.35694,902,744.41
其他应收款合计398,585,470.27297,956,808.22334,748,183.37346,068,439.15
应收股利2,842,0002,842,0002,842,0002,842,000
存货1,740,458,074.031,588,492,875.81,682,115,673.181,678,503,858.66
合同资产8,589,283,390.239,132,021,753.098,309,535,411.148,077,115,038.03
其他流动资产191,809,268.95158,370,615.51140,844,284.45133,170,100.88
流动资产平衡项目0000
流动资产合计20,971,233,742.8121,326,863,734.5519,632,410,647.819,189,166,419.56
非流动资产:
债权投资40,651,491.1240,651,491.1240,651,491.1240,651,491.12
长期应收款55,290,745.13185,811,787.87388,797,674.17385,028,507.12
长期股权投资930,879,710.68930,879,710.68987,906,633.24967,906,633.24
其他权益工具投资395,077,360.95418,584,847.86404,627,277.51351,735,431.96
其他非流动金融资产54,438,520.9854,438,520.9854,443,74955,000,000
投资性房地产23,215,991.9124,265,561.3222,267,277.8423,273,237.27
固定资产1,505,755,280.471,531,537,245.371,537,248,673.521,528,885,328.79
在建工程16,716,394.6416,661,445.8334,756,621.1615,751,115.82
使用权资产53,733,445.6854,592,634.0455,455,478.256,318,391.3
无形资产332,478,258.9337,257,738.35343,248,557.06350,393,686.88
开发支出2,561,691.862,010,150.162,356,818.241,138,433.78
商誉315,312,029.9315,312,029.9315,312,029.9315,312,029.9
长期待摊费用28,994,489.0329,159,601.0129,667,865.9930,673,463.85
递延所得税资产217,430,796.62229,439,047.32188,945,343.63189,213,281.93
其他非流动资产97,924,904.31116,229,341.76111,267,143.12103,940,389.38
非流动资产平衡项目0000
非流动资产合计4,070,461,112.184,286,831,153.574,516,952,633.74,415,221,422.34
资产平衡项目0000
资产总计25,041,694,854.9925,613,694,888.1224,149,363,281.523,604,387,841.9
流动负债:
短期借款901,461,225.33946,958,021.23825,737,859.981,346,859,651.55
应付票据及应付账款9,179,251,071.1910,225,526,092.359,283,064,737.628,758,984,061.19
其中:应付票据3,589,751,393.913,722,661,489.594,060,828,291.383,569,798,968.78
应付账款5,589,499,677.286,502,864,602.765,222,236,446.245,189,185,092.41
合同负债1,884,733,765.041,523,324,942.771,663,790,296.651,519,013,813.15
应付职工薪酬89,442,479148,999,041.71112,586,832.02109,221,305.14
应交税费173,551,181.25299,175,262.76191,425,252.41145,636,663.26
其他应付款合计434,616,773.33362,155,920.63332,423,491.83324,604,366.49
应付股利150,400150,400-32,224,176.24
一年内到期的非流动负债538,349,511.24503,078,639.77148,378,855.0593,600,180.75
其他流动负债382,808,752.22312,185,160.572,000,000167,215,361.21
流动负债平衡项目0000
流动负债合计13,584,214,758.614,321,403,081.7912,559,407,325.5612,465,135,402.74
非流动负债:
长期借款247,294,234.86197,352,252.31555,142,093.75375,737,601.38
应付债券2,028,721,514.882,012,361,548.781,996,023,711.691,979,666,723.36
租赁负债46,358,787.5145,784,275.0345,237,072.2144,689,869.39
预计负债5,186,962.884,303,070.5512,265,885.1110,851,290.38
递延收益43,735,106.2944,736,648.8845,738,191.4747,950,684.8
递延所得税负债10,117,332.6213,643,455.6611,487,250.083,553,473.25
非流动负债平衡项目0000
非流动负债合计2,381,413,939.042,318,181,251.212,665,894,204.312,462,449,642.56
负债平衡项目0000
负债合计15,965,628,697.6416,639,584,33315,225,301,529.8714,927,585,045.3
所有者权益(或股东权益):
实收资本(或股本)2,012,890,1712,012,889,9662,012,885,2392,012,884,418
其他权益工具164,093,951.09164,094,033.14164,095,920.29164,096,248.49
资本公积1,717,292,825.61,717,291,934.111,717,091,229.531,717,087,730.12
减:库存股99,999,606.8199,999,606.8199,999,606.8199,999,606.81
其他综合收益28,263,649.0949,130,095.7932,124,710.32-12,462,144.9
盈余公积308,656,504.11308,656,504.11276,372,291.18276,372,291.18
未分配利润4,913,562,481.184,789,419,867.564,785,519,422.174,583,093,867.35
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9,044,759,975.268,941,482,793.98,888,089,205.688,641,072,803.43
少数股东权益31,306,182.0932,627,761.2235,972,545.9535,729,993.17
股东权益平衡项目0000
股东权益合计9,076,066,157.358,974,110,555.128,924,061,751.638,676,802,796.6
负债和股东权益合计25,041,694,854.9925,613,694,888.1224,149,363,281.523,604,387,841.9
公告日期2025-04-262025-04-122024-10-292024-08-28
审计意见(境内)标准无保留意见
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