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驰宏锌锗

(600497)

  

流通市值:334.68亿  总市值:334.68亿
流通股本:50.40亿   总股本:50.40亿

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1,249,487,621.99802,005,587.361,578,676,640.15961,176,705
  交易性金融资产13,473.712,197.4113,245.8120,647.12
  衍生金融资产-4,976,495.48-8,390,100
  应收票据及应收账款251,874,707.75223,730,953.4240,333,323.41129,018,066.64
        应收账款251,874,707.75223,730,953.4240,333,323.41129,018,066.64
  应收款项融资295,402,460160,406,387.7119,675,348.4349,670,939.25
  预付款项39,229,757.4735,943,360.3324,802,153.1441,463,752.09
  其他应收款合计44,638,539.6821,066,069.5517,331,321.6916,369,671.73
  存货1,712,544,981.091,623,678,579.961,641,661,866.732,031,390,969.48
  其他流动资产192,428,976.49260,130,943.17232,839,698.68264,321,195.11
  流动资产合计3,785,620,518.173,131,950,574.363,855,333,598.043,501,822,046.42
非流动资产:
  长期股权投资254,382,145.03247,138,526.85247,289,679.12248,534,462.16
  投资性房地产84,962,595.6886,459,804.7887,461,329.1788,462,853.74
  固定资产7,805,161,600.47,984,617,641.498,131,577,298.688,259,363,573.61
  在建工程2,369,173,604.732,208,377,187.822,147,127,414.242,104,741,722.4
  使用权资产50,615,085.0758,352,951.5766,308,408.1563,453,905.38
  无形资产10,922,827,109.4511,239,214,583.8811,286,822,791.0611,338,726,251.29
  开发支出12,457,756.3816,516,902.2917,062,021.7615,569,845.12
  商誉39,434,160.3239,434,160.3239,434,160.3239,434,160.32
  长期待摊费用268,882,036.74278,753,315.67263,907,984.45253,980,285.73
  递延所得税资产249,027,036.53301,343,768.53368,641,038.32390,077,106.8
  其他非流动资产72,042,358.6476,325,670.9761,973,514.6564,237,153.44
  非流动资产合计22,128,965,488.9722,536,534,514.1722,717,605,639.9222,866,581,319.99
  资产总计25,914,586,007.1425,668,485,088.5326,572,939,237.9626,368,403,366.41
流动负债:
  短期借款630,447,394.61240,447,394.61512,101,218.97611,992,195.21
  衍生金融负债826,255.62-6,470,870.09-
  应付票据及应付账款1,336,744,341.241,274,064,478.771,235,769,866.371,474,660,291.37
        应付账款1,336,744,341.241,274,064,478.771,235,769,866.371,474,660,291.37
  合同负债375,825,787.89193,991,332.61164,579,285.55104,477,499.95
  应付职工薪酬478,807,908.13304,304,512.99162,670,441.1535,506,354.5
  应交税费223,043,765.97206,710,761.14224,555,776.35180,355,363.98
  其他应付款合计262,818,367.28251,191,108.91255,026,171.41266,616,849.63
  其中:应付利息8,815,954.998,815,954.998,815,954.998,815,954.99
  一年内到期的非流动负债818,665,805.261,599,135,166.072,151,212,692.752,121,483,204.43
  其他流动负债49,159,751.6842,019,077.437,084,063.0413,598,837.26
  流动负债合计4,176,339,377.684,111,863,832.54,749,470,385.684,808,690,596.33
非流动负债:
  长期借款1,195,252,049.981,223,462,517.851,103,743,214.151,211,293,214.15
  租赁负债17,144,679.2921,750,738.9630,818,709.8824,815,265.21
  长期应付款986,627,440.621,098,475,417.51,139,738,200.581,232,124,237.7
  长期应付职工薪酬1,058,362.791,260,459.741,587,139.711,818,817.28
  预计负债283,874,113.54289,622,989.88290,009,660.82287,555,873.85
  递延收益25,381,471.5240,387,218.1547,796,745.5918,899,188.46
  递延所得税负债-872,962.3487,752.31-
  非流动负债合计2,509,338,117.742,675,832,304.422,613,781,423.042,776,506,596.65
  负债合计6,685,677,495.426,787,696,136.927,363,251,808.727,585,197,192.98
所有者权益(或股东权益):
  实收资本(或股本)5,040,380,4835,091,291,5685,091,291,5685,091,291,568
  资本公积7,697,944,095.497,720,646,744.17,858,404,880.667,906,801,842.83
  减:库存股-44,379,78511,148,008500,000
  其他综合收益-174,506,260.27-161,286,435.5-215,488,135.2-200,640,825.54
  专项储备36,859,592.3129,953,143.6918,750,096.0510,504,134.35
  盈余公积1,447,881,617.491,447,881,617.491,447,881,617.491,447,881,617.49
  未分配利润2,713,930,448.162,322,450,232.772,541,643,392.572,047,270,220.12
  归属于母公司股东权益合计16,762,489,976.1816,406,557,085.5516,731,335,411.5716,302,608,557.25
  少数股东权益2,466,418,535.542,474,231,866.062,478,352,017.672,480,597,616.18
  股东权益合计19,228,908,511.7218,880,788,951.6119,209,687,429.2418,783,206,173.43
  负债和股东权益合计25,914,586,007.1425,668,485,088.5326,572,939,237.9626,368,403,366.41
公告日期2025-10-252025-08-272025-04-232025-03-28
审计意见(境内)标准无保留意见
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