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重庆水务

(601158)

  

流通市值:209.76亿  总市值:209.76亿
流通股本:48.00亿   总股本:48.00亿

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2,183,670,182.482,347,288,099.081,756,477,058.831,283,887,658.6
  交易性金融资产-850,000,0001,550,000,0002,150,000,000
  应收票据及应收账款2,061,423,380.61,059,068,411.05878,092,239.47691,870,582.66
  其中:应收票据671,600202,8742,536,249.053,536,249.05
        应收账款2,060,751,780.61,058,865,537.05875,555,990.42688,334,333.61
  预付款项19,597,145.0747,006,962.3342,371,123.7931,088,066.42
  其他应收款合计192,246,944.79203,304,278.81166,827,995.61223,287,984.67
        应收股利25,420,000---
  存货189,035,118.41205,353,398.36319,617,872.61351,429,789.7
  合同资产914,010,432.821,882,006,657.691,783,282,921.261,790,345,973.78
  其他流动资产332,318,292.95292,376,968.36290,979,386.99303,484,234.36
  流动资产合计5,946,271,849.76,940,375,128.266,841,618,951.146,879,364,642.77
非流动资产:
  长期应收款50,891.9657,216.58--
  长期股权投资2,832,739,342.62,813,727,386.12,662,631,363.342,690,484,991.21
  其他权益工具投资1,159,208,017.811,184,552,661.681,245,498,115.691,112,411,269.48
  投资性房地产137,185,456.66126,946,328.86128,408,011.47129,610,696.15
  固定资产19,468,192,873.719,014,883,427.6319,028,616,838.0919,393,569,164.02
  在建工程577,440,021.73703,574,580.93574,951,868.4585,547,443.16
  使用权资产230,527,761.79139,200,487.09156,060,292.9125,549,924.93
  无形资产4,533,455,776.684,455,060,850.174,464,298,836.044,495,005,870.23
  开发支出779,186.842,936,890.642,831,890.641,580,188.68
  商誉22,610,400.1622,610,400.1622,610,400.1622,610,400.16
  长期待摊费用1,459,696.7520,189,944.9120,845,243.4122,920,962.22
  递延所得税资产74,809,487.6849,133,702.4447,586,429.0848,057,728.08
  其他非流动资产311,787,829.3330,023,252.29382,137,733.6302,162,306.45
  非流动资产合计29,350,246,743.6628,862,897,129.4828,736,477,022.8228,929,510,944.77
  资产总计35,296,518,593.3635,803,272,257.7435,578,095,973.9635,808,875,587.54
流动负债:
  短期借款22,394,660.6137,216,260.66537,216,260.66537,216,260.66
  应付票据及应付账款1,450,566,904.81,436,583,574.091,403,473,738.121,424,737,310.86
        应付账款1,450,566,904.81,436,583,574.091,403,473,738.121,424,737,310.86
  预收款项1,512,965.99,212,342.093,815,321.943,469,784.68
  合同负债614,885,347.661,160,259,681.051,137,259,753.83889,223,153.55
  应付职工薪酬303,479,163.45178,336,414.6180,593,407.36181,795,030.5
  应交税费123,468,666.23165,782,311.03116,367,213.64111,228,812.65
  其他应付款合计2,034,145,606.052,062,004,404.381,823,468,640.061,916,616,415.57
        应付股利--3,593,585.23,593,585.2
  一年内到期的非流动负债1,563,138,395.411,397,793,510.231,427,608,754.79410,918,497.44
  其他流动负债1,826,828.862,264,832.121,910,879.351,674,841.61
  流动负债合计6,115,418,538.976,449,453,330.256,631,713,969.755,476,880,107.52
非流动负债:
  长期借款6,113,472,701.316,331,402,684.116,355,307,479.516,424,649,397.26
  应付债券3,923,913,885.113,918,624,898.463,910,188,964.074,901,293,728.75
  租赁负债86,119,527.4572,296,399.761,420,886.5459,598,844.6
  长期应付款109,590,626.06211,092,370.89131,688,964.21102,369,469.34
  预计负债39,643,922.6938,700,430.4738,291,397.8337,882,365.2
  递延收益1,500,024,174.381,261,646,165.271,185,796,859.571,217,923,820.38
  递延所得税负债105,237,080.52109,278,774.61118,489,357.0998,575,116.82
  非流动负债合计11,878,001,917.5211,943,041,723.5111,801,183,908.8212,842,292,742.35
  负债合计17,993,420,456.4918,392,495,053.7618,432,897,878.5718,319,172,849.87
所有者权益(或股东权益):
  实收资本(或股本)4,800,023,0774,800,021,8384,800,000,0004,800,000,000
  其他权益工具3,164,121.43,164,131.393,165,154.243,165,154.24
  资本公积4,763,305,293.524,788,875,595.114,755,198,885.934,803,198,584.56
  其他综合收益568,115,794.14589,690,468.4641,494,104.31528,370,285.03
  盈余公积2,282,825,284.172,215,626,167.812,215,626,167.812,215,626,167.81
  未分配利润4,740,404,172.344,868,718,738.034,587,398,028.064,995,361,441.88
  归属于母公司股东权益合计17,157,837,742.5717,266,096,938.7417,002,882,340.3517,345,721,633.52
  少数股东权益145,260,394.3144,680,265.24142,315,755.04143,981,104.15
  股东权益合计17,303,098,136.8717,410,777,203.9817,145,198,095.3917,489,702,737.67
  负债和股东权益合计35,296,518,593.3635,803,272,257.7435,578,095,973.9635,808,875,587.54
公告日期2026-04-022025-10-302025-08-232025-04-29
审计意见(境内)标准无保留意见
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