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海天精工

(601882)

  

流通市值:101.53亿  总市值:101.53亿
流通股本:5.22亿   总股本:5.22亿

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718,303,150.13790,812,671.28860,926,545.8797,165,122.72
  交易性金融资产537,531,286.34344,074,188.8131,990,794.52171,804,616.43
  应收票据及应收账款642,750,608.52564,550,480.42526,292,616.74510,664,993.86
  其中:应收票据103,376,074.5313,995,848.385,405,786.873,323,720.55
        应收账款539,374,533.99550,554,632.04520,886,829.87507,341,273.31
  应收款项融资517,257,105.8627,448,282.07620,599,835.85612,971,018.25
  预付款项23,550,841.9123,625,703.5525,640,94623,029,743.86
  其他应收款合计21,289,867.2622,764,355.249,163,079.418,756,053
  存货1,510,888,602.131,465,631,638.151,463,961,606.321,514,835,261.33
  合同资产20,284,553.4920,955,959.8519,743,902.3421,719,513.22
  一年内到期的非流动资产-51,361,424.6650,979,561.64-
  其他流动资产65,643,309.9842,267,418.1837,127,515.6922,212,735.37
  流动资产合计4,057,499,325.563,953,492,122.23,746,426,404.313,683,159,058.04
非流动资产:
  长期股权投资15,855,523.9909,502.171,023,313.57647,855.63
  其他非流动金融资产25,042,500--50,601,849.32
  固定资产800,261,835.46629,628,102.25631,702,872.53644,853,774.29
  在建工程141,613,150247,385,175.43214,115,755.33157,844,462
  使用权资产3,926,117.436,586,107.747,367,643.315,389,482.99
  无形资产229,056,120.03230,149,128.09231,202,899.4232,641,723.23
  长期待摊费用193,995.771,117,476.171,297,136.58566,885.83
  递延所得税资产79,308,260.1372,381,038.5569,558,955.0268,693,618.84
  其他非流动资产4,758,173.6112,484,610.9412,847,469.1826,458,922.94
  非流动资产合计1,300,015,676.331,200,641,141.341,169,116,044.921,187,698,575.07
  资产总计5,357,515,001.895,154,133,263.544,915,542,449.234,870,857,633.11
流动负债:
  短期借款54,417,011.9949,823,958.33--
  应付票据及应付账款1,021,816,257.42898,731,494.08890,311,813.6789,750,574.95
  其中:应付票据387,047,946.16353,210,830.86342,493,786.07284,831,223.63
        应付账款634,768,311.26545,520,663.22547,818,027.53504,919,351.32
  合同负债818,702,299.6844,252,864.5792,291,229.16821,183,863.97
  应付职工薪酬117,804,032.72106,787,260.8590,662,382.4682,840,585.57
  应交税费52,107,155.5941,811,031.5345,621,955.2243,648,288.88
  其他应付款合计156,210,874.19151,389,624.58144,505,552.77130,750,553.1
  一年内到期的非流动负债1,284,762.072,973,362.962,919,680.76488,974.38
  其他流动负债89,542,956.5489,954,710.184,712,322.6186,654,421.93
  流动负债合计2,311,885,350.122,185,724,306.932,051,024,936.581,955,317,262.78
非流动负债:
  租赁负债2,709,943.455,354,385.525,641,893.235,455,508.88
  预计负债44,457,493.0246,275,120.1445,894,381.1146,452,997.77
  递延收益46,893,725.357,544,120.1355,705,361.2858,147,792.23
  非流动负债合计94,061,161.77109,173,625.79107,241,635.62110,056,298.88
  负债合计2,405,946,511.892,294,897,932.722,158,266,572.22,065,373,561.66
所有者权益(或股东权益):
  实收资本(或股本)522,000,000522,000,000522,000,000522,000,000
  资本公积290,414,240.69290,414,240.69290,414,240.69290,414,240.69
  其他综合收益-2,423,283.2-1,681,620.62-1,253,423.04-923,357.99
  专项储备22,301,682.4720,780,395.4119,339,534.4417,694,867.27
  盈余公积270,057,837.33270,057,837.33270,057,837.33270,057,837.33
  未分配利润1,845,542,3881,754,163,204.91,653,554,060.421,703,390,538.42
  归属于母公司股东权益合计2,947,892,865.292,855,734,057.712,754,112,249.842,802,634,125.72
  少数股东权益3,675,624.713,501,273.113,163,627.192,849,945.73
  股东权益合计2,951,568,4902,859,235,330.822,757,275,877.032,805,484,071.45
  负债和股东权益合计5,357,515,001.895,154,133,263.544,915,542,449.234,870,857,633.11
公告日期2026-03-242025-10-312025-08-302025-04-30
审计意见(境内)标准无保留意见
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