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精工钢构

(600496)

  

流通市值:74.03亿  总市值:74.03亿
流通股本:19.90亿   总股本:19.90亿

资产负债表

报告期2025-12-312025-09-302025-06-302025-03-31
公司类型通用通用通用通用
流动资产:
  货币资金6,579,050,764.915,391,910,568.355,152,311,049.755,326,031,625.83
  交易性金融资产207,523,932.69379,269,811.87253,132,150.71191,185,609.9
  应收票据及应收账款4,583,647,237.514,074,157,944.954,064,795,253.423,849,665,369.32
  其中:应收票据131,333,093.1216,441,167.75309,699,759.69357,200,743.44
        应收账款4,452,314,144.413,857,716,777.23,755,095,493.733,492,464,625.88
  应收款项融资132,206,654.1181,537,456.68201,654,173.8575,632,761.21
  预付款项478,884,594.881,300,752,549.05705,836,164.76608,582,173.07
  其他应收款合计375,362,211.1431,017,217.98394,036,104.32398,585,470.27
        应收股利2,842,0002,842,0002,842,0002,842,000
  存货1,806,055,796.791,524,704,138.611,598,112,603.581,740,458,074.03
  合同资产9,802,211,551.889,078,008,796.48,842,209,672.368,589,283,390.23
  其他流动资产148,470,268.07127,524,361.93147,355,114.58191,809,268.95
  流动资产合计24,113,413,011.9322,488,882,845.8221,359,442,287.3320,971,233,742.81
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40,576,115.8355,900,986.6755,546,714.2455,290,745.13
  长期股权投资926,767,472.44932,749,798.01932,694,872.36930,879,710.68
  其他权益工具投资423,100,199.13406,204,192.92430,338,591.32395,077,360.95
  其他非流动金融资产55,184,109.5454,438,520.9854,438,520.9854,438,520.98
  投资性房地产20,099,218.3321,116,853.0922,166,422.523,215,991.91
  固定资产1,476,336,684.321,466,537,919.941,487,422,467.881,505,755,280.47
  在建工程28,472,132.3833,260,283.0321,541,556.0916,716,394.64
  使用权资产51,155,880.652,015,068.9652,874,257.3253,733,445.68
  无形资产370,372,157.34372,910,860.42326,097,852.52332,478,258.9
  开发支出-4,419,929.043,334,711.342,561,691.86
  商誉315,312,029.9315,312,029.9315,312,029.9315,312,029.9
  长期待摊费用26,564,188.728,757,698.528,552,774.1928,994,489.03
  递延所得税资产238,218,734.76224,221,845.2221,221,116.51217,430,796.62
  其他非流动资产119,040,098.84132,129,995.93135,529,066.4397,924,904.31
  非流动资产合计4,131,850,513.234,140,627,473.714,127,722,444.74,070,461,112.18
  资产总计28,245,263,525.1626,629,510,319.5325,487,164,732.0325,041,694,854.99
流动负债:
  短期借款1,062,717,385.37775,733,636.03692,461,394.98901,461,225.33
  应付票据及应付账款11,829,176,475.2710,613,874,665.349,863,121,334.549,179,251,071.19
  其中:应付票据4,455,826,931.994,534,615,718.093,865,864,191.733,589,751,393.91
        应付账款7,373,349,543.286,079,258,947.255,997,257,142.815,589,499,677.28
  合同负债1,597,067,688.521,921,225,131.931,834,355,230.621,884,733,765.04
  应付职工薪酬139,583,264.4109,466,999.3296,957,882.9689,442,479
  应交税费267,671,427.14224,252,863.67180,506,408.67173,551,181.25
  其他应付款合计510,089,821.63543,836,230.12426,308,985.87434,616,773.33
        应付股利140,710.946,292,3006,292,300150,400
  一年内到期的非流动负债468,249,668.22412,035,094.5624,249,245.3538,349,511.24
  其他流动负债527,487,243.38340,009,592.99396,015,104.09382,808,752.22
  流动负债合计16,402,042,973.9314,940,434,213.914,113,975,587.0313,584,214,758.6
非流动负债:
  长期借款240,117,141.2140,000,00050,000,000247,294,234.86
  应付债券2,072,969,028.132,058,398,839.912,043,828,644.42,028,721,514.88
  租赁负债48,082,324.9547,507,812.4746,933,299.9946,358,787.51
  预计负债4,490,880.555,628,009.895,862,326.425,186,962.88
  递延收益41,280,678.5241,732,021.1142,733,563.743,735,106.29
  递延所得税负债16,413,850.1512,760,261.0716,286,384.1110,117,332.62
  非流动负债合计2,423,353,903.52,306,026,944.452,205,644,218.622,381,413,939.04
  负债合计18,825,396,877.4317,246,461,158.3516,319,619,805.6515,965,628,697.64
所有者权益(或股东权益):
  实收资本(或股本)1,990,124,9651,990,124,5491,990,124,3412,012,890,171
  其他权益工具164,093,704.94164,093,786.99164,093,869.04164,093,951.09
  资本公积1,640,424,847.721,640,061,056.161,640,060,152.831,717,292,825.6
  减:库存股---99,999,606.81
  其他综合收益52,021,275.1632,795,362.254,416,552.6328,263,649.09
  盈余公积331,569,918.74308,656,504.11308,656,504.11308,656,504.11
  未分配利润5,212,258,642.375,219,929,483.144,979,906,997.774,913,562,481.18
  归属于母公司股东权益合计9,390,493,353.939,355,660,741.69,137,258,417.389,044,759,975.26
  少数股东权益29,373,293.827,388,419.5830,286,50931,306,182.09
  股东权益合计9,419,866,647.739,383,049,161.189,167,544,926.389,076,066,157.35
  负债和股东权益合计28,245,263,525.1626,629,510,319.5325,487,164,732.0325,041,694,854.99
公告日期2026-04-182025-10-292025-08-282025-04-26
审计意见(境内)标准无保留意见
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