当前位置:首页 - 行情中心 - 中国一重(601106) - 财务分析 - 资产负债表

中国一重

(601106)

  

流通市值:212.59亿  总市值:212.59亿
流通股本:68.58亿   总股本:68.58亿

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2,611,513,568.832,678,729,706.272,858,267,663.622,766,782,073.1
  应收票据及应收账款4,281,885,516.944,421,596,078.264,651,565,525.225,784,216,216.58
  其中:应收票据912,170,904.831,179,903,715.131,139,651,308.25955,388,856.55
        应收账款3,369,714,612.113,241,692,363.133,511,914,216.974,828,827,360.03
  应收款项融资194,748,283.06155,313,730.97308,358,506.49183,079,510.42
  预付款项824,149,517.061,151,775,168.97951,675,718.991,986,240,770.76
  其他应收款合计919,386,736.63925,285,900.81909,614,935.151,069,976,633.23
        应收股利6,824,721.016,824,721.016,824,721.016,824,721.01
  存货8,077,692,9707,852,769,919.318,010,038,505.668,560,955,723.19
  合同资产5,278,424,250.25,121,320,440.295,137,243,109.817,140,273,085.19
  其他流动资产423,041,360.53450,504,362.66515,763,659.01199,735,779.34
  流动资产合计22,610,842,203.2522,757,295,307.5423,342,527,623.9527,691,259,791.81
非流动资产:
  长期股权投资3,081,160,459.032,998,250,626.063,027,381,799.323,665,630,573.56
  其他权益工具投资203,313,500.03203,313,486.02203,313,500.03162,976,573.77
  其他非流动金融资产8,027,482.598,027,496.68,027,482.593,291,333.33
  投资性房地产821,849.42915,006.26554,207.01605,417.16
  固定资产7,138,144,710.637,275,810,396.47,846,614,554.576,338,123,508.48
  在建工程1,463,325,967.571,431,194,620.051,680,937,555.89756,745,604.8
  使用权资产189,467,254.89199,752,975.91211,294,393.77221,436,290.71
  无形资产1,915,714,386.491,953,048,620.41,998,930,121.771,881,278,602.54
  开发支出454,573,981.95522,969,571.9407,281,249.71614,841,972.4
  长期待摊费用33,907,962.0236,031,787.2436,406,945.5119,922,238.54
  递延所得税资产179,199,759.64198,805,615.87198,805,615.87188,195,480.18
  其他非流动资产883,131,761.64985,425,392.231,012,009,631.59234,186,519.75
  非流动资产合计15,550,789,075.915,813,545,594.9416,631,557,057.6314,087,234,115.22
  资产总计38,161,631,279.1538,570,840,902.4839,974,084,681.5841,778,493,907.03
流动负债:
  短期借款4,141,541,132.283,917,505,059.95,060,336,012.815,954,225,481.55
  应付票据及应付账款6,702,454,958.68,128,480,527.888,583,069,811.558,868,466,758.78
  其中:应付票据991,377,597.442,268,263,865.22,296,746,702.72,078,351,311.94
        应付账款5,711,077,361.165,860,216,662.686,286,323,108.856,790,115,446.84
  预收款项371,285.7943,291.22735,413.1-
  合同负债1,820,605,784.041,828,139,763.381,930,467,357.061,118,575,735.24
  应付职工薪酬324,946,242.44351,102,181.41378,541,616.09360,266,449.93
  应交税费73,118,611.09150,026,583.9767,726,678.3574,066,406.66
  其他应付款合计675,238,059.97619,454,174.3739,507,059.3412,848,458.3
        应付股利1,224,627.321,224,627.321,224,627.321,224,627.32
  一年内到期的非流动负债5,668,339,732.226,099,231,393.676,227,136,776.776,215,125,602.26
  其他流动负债545,509,603.93630,867,454.09576,318,196.17407,289,673.62
  流动负债合计19,952,125,410.3621,724,850,429.8223,563,838,921.223,410,864,566.34
非流动负债:
  长期借款10,406,847,659.649,071,760,937.729,611,091,817.938,404,460,231.32
  租赁负债149,891,180.18187,360,945.51158,012,939.36184,218,945.82
  长期应付职工薪酬228,026,747.5232,468,000.6233,736,027.83248,648,542.52
  预计负债242,260,566.58228,389,830.85229,193,637.771,687,204.86
  递延收益431,269,417.4443,643,346.91428,496,789.86492,283,331.9
  递延所得税负债11,181,013.111,159,809.1911,159,809.19-
  其他非流动负债45,750,745.0624,371,419.2924,927,198.0524,606,628.26
  非流动负债合计11,515,227,329.4610,199,154,290.0710,696,618,219.929,425,904,884.68
  负债合计31,467,352,739.8231,924,004,719.8934,260,457,141.1232,836,769,451.02
所有者权益(或股东权益):
  实收资本(或股本)6,857,782,9276,857,782,9276,857,782,9276,857,782,927
  资本公积9,618,170,658.689,618,170,658.689,618,170,658.689,618,170,658.68
  其他综合收益435,308,226.09375,804,072.29375,804,072.29301,592,425.36
  专项储备34,939,430.0933,861,568.5235,163,796.6538,074,333.51
  盈余公积125,689,638.46125,689,638.46125,689,638.46125,689,638.46
  未分配利润-11,768,125,574.77-11,718,629,825.81-11,662,482,775.91-8,108,532,215.82
  归属于母公司股东权益合计5,303,765,305.555,292,679,039.145,350,128,317.178,832,777,767.19
  少数股东权益1,390,513,233.781,354,157,143.45363,499,223.29108,946,688.82
  股东权益合计6,694,278,539.336,646,836,182.595,713,627,540.468,941,724,456.01
  负债和股东权益合计38,161,631,279.1538,570,840,902.4839,974,084,681.5841,778,493,907.03
公告日期2025-08-262025-04-302025-04-302024-10-31
审计意见(境内)标准无保留意见
TOP↑