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钱江生化

(600796)

  

流通市值:19.90亿  总市值:55.37亿
流通股本:3.11亿   总股本:8.67亿

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765,156,922.38778,632,425.65820,899,581.33948,498,660.85
  应收票据及应收账款979,763,701.93935,429,161.291,057,441,677.66995,762,511.2
  其中:应收票据--41,627,133.671,723,824.12
        应收账款979,763,701.93935,429,161.291,015,814,544.06924,038,687.08
  应收款项融资37,082,342.0430,773,714.2230,387,151.7531,316,075.54
  预付款项17,637,506.7220,926,012.0717,346,289.7511,259,703.19
  其他应收款合计43,215,477.2758,876,705.3315,683,840.7121,901,990.32
        应收股利-37,200,000--
  存货169,094,278178,920,574.91197,408,982.82193,142,315.25
  合同资产90,166,871.29115,698,380.88140,804,450.2127,551,955.48
  其他流动资产51,005,917.8648,977,773.2145,394,851.1856,447,619.21
  流动资产合计2,153,123,017.492,168,234,747.562,325,366,825.42,385,880,831.04
非流动资产:
  长期股权投资572,675,856.55568,064,505.36557,490,467.75546,566,419.86
  其他权益工具投资48,685,185.1650,215,003.6150,215,003.6150,811,425.08
  投资性房地产18,275,573.7518,897,942.9820,136,419.5416,816,292.35
  固定资产649,239,875.71665,962,807.36938,069,901.04963,935,561.68
  在建工程525,993,433.2342,154,486.04471,703,369.57431,035,789.11
  使用权资产2,018,498.12,124,898.82,286,972.242,554,027.06
  无形资产3,280,310,139.553,087,831,889.23,072,568,442.723,050,377,950.62
  长期待摊费用17,531,786.8819,513,467.1220,988,798.621,239,693.99
  递延所得税资产41,453,402.7141,361,167.2742,254,303.0742,437,365
  其他非流动资产55,540,914.6252,319,422.6545,701,401.8139,264,095.32
  非流动资产合计5,211,724,666.234,848,445,590.395,221,415,079.955,165,038,620.07
  资产总计7,364,847,683.727,016,680,337.957,546,781,905.357,550,919,451.11
流动负债:
  短期借款280,600,000329,226,874.4408,366,372.61361,733,062.25
  应付票据及应付账款811,743,485.38429,372,422.86654,075,991.86772,747,749.35
  其中:应付票据83,538,344.7432,245,777.0859,139,460.01114,541,471.58
        应付账款728,205,140.64397,126,645.78594,936,531.85658,206,277.77
  预收款项1,225,108.211,227,686.21-2,371,359.3
  合同负债50,323,355.0127,627,796.7129,445,523.9215,491,690.59
  应付职工薪酬18,847,867.6118,211,291.9415,636,233.6139,456,361.8
  应交税费27,540,927.0431,637,709.4833,497,013.343,674,972.36
  其他应付款合计155,362,178.44190,811,468.6168,486,470.15157,225,992.62
        应付股利-26,864,158.75--
  一年内到期的非流动负债427,281,570.83149,357,992.7229,697,183.64248,485,789.5
  其他流动负债3,159,195.941,830,979.372,226,718.06928,623.95
  流动负债合计1,776,083,688.461,179,304,222.271,541,431,507.151,642,115,601.72
非流动负债:
  长期借款589,089,034.92918,236,758.491,189,984,358.911,139,775,625.25
  应付债券599,432,555.99599,336,580.95599,241,649.12599,147,760.49
  租赁负债1,581,753.37999,743.551,581,753.371,581,753.37
  长期应付款312,339,700.24279,230,736.41288,011,751.47278,011,751.47
  长期应付职工薪酬5,601,540.186,461,659.566,621,033.787,441,645.44
  预计负债111,440,285.86108,341,583.88102,508,059.32101,036,249.39
  递延收益275,190,066.95273,804,564.92235,053,046.19224,144,352.46
  递延所得税负债903,933.48903,933.48869,397.3878,429.78
  非流动负债合计1,895,578,870.992,187,315,561.242,423,871,049.462,352,017,567.65
  负债合计3,671,662,559.453,366,619,783.513,965,302,556.613,994,133,169.37
所有者权益(或股东权益):
  实收资本(或股本)866,585,766866,585,766866,585,766866,585,766
  资本公积1,463,941,300.21,463,941,300.21,463,485,888.71,463,485,888.7
  其他综合收益5,961,636.685,961,636.685,961,636.685,961,636.68
  专项储备12,626,776.8512,138,138.0211,790,071.1311,332,415.7
  盈余公积108,427,146.3108,427,146.3114,941,062.12114,941,062.12
  未分配利润966,433,782.91923,520,571.24844,375,008.34813,870,408.98
  归属于母公司股东权益合计3,423,976,408.943,380,574,558.443,307,139,432.973,276,177,178.18
  少数股东权益269,208,715.33269,485,996274,339,915.77280,609,103.56
  股东权益合计3,693,185,124.273,650,060,554.443,581,479,348.743,556,786,281.74
  负债和股东权益合计7,364,847,683.727,016,680,337.957,546,781,905.357,550,919,451.11
公告日期2025-10-292025-08-272025-04-292025-04-19
审计意见(境内)标准无保留意见
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