当前位置:首页 - 行情中心 - 神马股份(600810) - 财务分析 - 资产负债表

神马股份

(600810)

  

流通市值:97.61亿  总市值:98.57亿
流通股本:10.05亿   总股本:10.15亿

资产负债表

报告期2025-06-302025-03-312024-12-312024-09-30
公司类型通用通用通用通用
流动资产:
  货币资金6,329,236,970.555,620,671,794.674,960,149,121.897,425,887,548.99
  应收票据及应收账款1,672,827,484.131,732,191,782.481,509,263,178.291,437,290,368.24
  其中:应收票据67,449,968.1990,529,861.1280,643,088.91-
        应收账款1,605,377,515.941,641,661,921.361,428,620,089.381,437,290,368.24
  应收款项融资682,184,419.96976,725,253.98797,312,739.841,182,907,489.39
  预付款项547,926,270.29529,662,600.9174,658,365.29468,621,925.73
  其他应收款合计146,392,097.9696,960,719.75213,173,702.15361,333,578.43
  其中:应收利息720,00028,650,224.94720,000720,000
  存货1,466,724,908.511,889,508,094.241,657,431,758.771,455,599,820.19
  合同资产4,590,406.64,594,606.64,594,606.6-
  一年内到期的非流动资产765,078,816.51560,806,613.08374,009,118.88333,218,048.12
  其他流动资产997,746,353.041,137,396,983.311,087,927,719.64669,125,712.59
  流动资产合计12,612,707,727.5512,548,518,449.0110,778,520,311.3513,333,984,491.68
非流动资产:
  长期应收款3,379,016,586.32,606,383,588.712,719,047,737.062,487,864,175.72
  长期股权投资1,380,831,279.071,409,003,718.491,402,534,550.471,234,608,658.97
  其他权益工具投资1,500,0001,500,0001,500,0001,500,000
  固定资产3,998,709,694.244,083,800,871.334,629,539,929.224,816,046,609.21
  在建工程7,792,953,874.467,506,537,017.576,847,865,360.485,679,865,684.79
  使用权资产28,057,589.0830,468,828.9132,908,861.5335,312,653.72
  无形资产930,336,953.49923,830,307.28946,888,700.95895,900,474.65
  开发支出36,686,685.9330,431,503.626,772,19460,131,143.1
  长期待摊费用63,575,519.2366,812,064.6170,048,609.9973,059,712.06
  递延所得税资产72,052,731.872,032,159.0582,212,565.17108,599,248.39
  其他非流动资产595,647,523.87451,327,967.23468,239,064.851,008,112,973.47
  非流动资产合计18,279,368,437.4717,182,128,026.7817,227,557,573.7216,401,001,334.08
  资产总计30,892,076,165.0229,730,646,475.7928,006,077,885.0729,734,985,825.76
流动负债:
  短期借款2,095,106,731.461,891,222,571.611,418,802,841.321,823,683,333.33
  应付票据及应付账款2,350,617,773.642,026,949,560.031,732,912,946.282,257,920,848.96
  其中:应付票据494,987,552.27559,915,243.87211,582,386.26845,188,087.74
        应付账款1,855,630,221.371,467,034,316.161,521,330,560.021,412,732,761.22
  预收款项05,825,720.930-
  合同负债281,142,185.82443,197,960.26200,902,339.46246,643,901.06
  应付职工薪酬38,175,241.741,362,863.3733,960,70834,958,379.66
  应交税费25,168,483.3328,414,733.1152,473,355.4932,730,842.13
  其他应付款合计431,717,570.68405,882,728.76338,498,614.24261,390,979.8
  其中:应付利息24,674,495.62,587,007.68386,340.858,586,340.85
        应付股利48,734,049---
  一年内到期的非流动负债2,164,554,226.342,962,073,886.111,914,179,804.851,092,944,771.34
  其他流动负债47,224,834.4755,483,536.9579,013,068.130,971,431.64
  流动负债合计7,433,707,047.447,860,413,561.135,770,743,677.745,781,244,487.92
非流动负债:
  长期借款8,125,598,973.457,495,520,743.997,722,449,583.68,969,153,762.68
  应付债券2,952,661,233.72,931,721,636.122,908,011,721.882,884,591,679.5
  租赁负债23,749,471.4625,225,185.1126,352,103.7232,152,544.02
  长期应付款112,433,951.88111,483,437.54206,456,809.85197,679,326.84
  递延收益99,091,388.9798,712,835.23100,619,591.72101,412,569.39
  递延所得税负债21,029,290.1822,384,714.4122,274,614.9224,409,732.98
  非流动负债合计11,334,564,309.6410,685,048,552.410,986,164,425.6912,209,399,615.41
  负债合计18,768,271,357.0818,545,462,113.5316,756,908,103.4317,990,644,103.33
所有者权益(或股东权益):
  实收资本(或股本)1,015,107,7191,015,105,7621,015,100,9861,044,180,494
  其他权益工具1,221,634,388.87221,635,570.93221,638,452.38221,646,948.88
  永续债1,000,000,000---
  资本公积2,306,331,761.862,312,920,561.712,298,732,888.332,824,492,053.12
  减:库存股360,287,678.67360,287,678.67281,309,585.1190,943,417.28
  其他综合收益1,255,519.23686,267.82721,968.55-
  专项储备27,076,550.1223,529,111.5119,760,268.0219,985,651.12
  盈余公积558,377,873.38558,377,873.38558,377,873.38558,377,873.38
  未分配利润3,243,969,092.493,312,419,002.113,330,274,494.743,148,218,101.69
  归属于母公司股东权益合计8,013,465,226.287,084,386,470.797,163,297,346.37,625,957,704.91
  少数股东权益4,110,339,581.664,100,797,891.474,085,872,435.344,118,384,017.52
  股东权益合计12,123,804,807.9411,185,184,362.2611,249,169,781.6411,744,341,722.43
  负债和股东权益合计30,892,076,165.0229,730,646,475.7928,006,077,885.0729,734,985,825.76
公告日期2025-08-292025-04-302025-03-202024-10-31
审计意见(境内)标准无保留意见
TOP↑