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*ST松发

(603268)

  

流通市值:76.86亿  总市值:600.91亿
流通股本:1.24亿   总股本:9.71亿

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5,420,913,628.134,156,642,489.6714,454,755.542,371,676,729.29
  交易性金融资产5,557,182.773,521,182.77--
  应收票据及应收账款120,316,741.31178,126,974.99101,951,963.57225,316,774.73
  其中:应收票据1,238,406.985,195,662.14582,941.620,898,946.87
        应收账款119,078,334.33172,931,312.85101,369,021.97204,417,827.86
  应收款项融资-45,752.84-373,779.68
  预付款项4,430,254,608.734,800,943,422.2615,905,587.763,320,345,957.14
  其他应收款合计2,483,573.5824,291,261.797,162,831.449,535,111.44
  存货5,489,166,714.34,278,373,138.82162,303,743.281,852,463,382.3
  合同资产8,524,433,989.154,456,750,343.93-2,291,499,024.64
  其他流动资产1,914,060,724.511,346,140,860.994,175,197.56697,624,504.41
  流动资产合计25,907,187,162.4819,244,835,428.06305,954,079.1510,768,835,263.63
非流动资产:
  固定资产6,929,058,957.315,979,889,523.87173,843,529.433,960,631,543.44
  在建工程7,236,086,307.086,805,714,956.191,775,178.472,781,502,202.73
  使用权资产745,836,503.426,587,782.688,118,406.5311,245,057.78
  无形资产1,848,786,703.881,856,725,548.3135,355,310.541,291,133,367.16
  长期待摊费用--1,993,846.821,572,077.47
  递延所得税资产53,410,783.2349,605,538.7428,985,329.7554,162,595.86
  其他非流动资产698,718,221.87434,421,460.151,000,000573,680,362.73
  非流动资产合计17,511,897,476.7915,132,944,809.94251,071,601.548,673,927,207.17
  资产总计43,419,084,639.2734,377,780,238557,025,680.6919,442,762,470.8
流动负债:
  短期借款2,597,753,516.132,305,920,359.85149,211,030.821,837,666,744.51
  交易性金融负债6,106,4416,998,250--
  应付票据及应付账款9,580,985,149.610,303,074,767.8438,074,860.634,453,710,653.67
  其中:应付票据6,894,115,139.526,587,931,750.7-2,505,761,278.92
        应付账款2,686,870,010.083,715,143,017.1438,074,860.631,947,949,374.75
  合同负债5,073,998,629.43,092,509,244.436,144,299.951,221,737,367.97
  应付职工薪酬69,365,621.8960,181,225.256,765,985.0253,449,048.11
  应交税费243,709,882.33171,389,410.372,353,865.78130,008,801.23
  其他应付款合计6,756,095,639.037,275,936,672.52314,956,939.034,129,497,211.94
  一年内到期的非流动负债1,841,129,831.431,836,848,242.124,352,311.06788,447,715.39
  其他流动负债143,210,087.182,532,044.3110,056,575.1957,460,442.54
  流动负债合计26,312,354,797.9125,135,390,216.67551,915,867.4812,671,977,985.36
非流动负债:
  长期借款5,065,315,256.523,438,592,405.039,400,0001,502,302,351.46
  租赁负债725,636,979.172,901,736.126,426,944.997,572,436.36
  长期应付款1,556,476,093.821,115,935,164.823,545.751,511,503,737.11
  预计负债35,040,452.9229,330,784.59-8,608,209.13
  递延收益1,654,842,790.231,121,110,105.182,943,255.41458,101,602.06
  递延所得税负债1,389,295.69880,295.695,671,706.93,830,673.16
  非流动负债合计9,038,700,868.355,708,750,491.4124,465,453.053,491,919,009.28
  负债合计35,351,055,666.2630,844,140,708.08576,381,320.5316,163,896,994.64
所有者权益(或股东权益):
  实收资本(或股本)970,778,303861,697,311124,168,800124,168,800
  资本公积5,918,113,428.522,117,009,253.02246,833,939.593,246,833,939.59
  其他综合收益-19,195.1826,266.26-5,941,572.25-5,885,816.25
  专项储备1,239,618.161,239,618.16-1,239,618.16
  盈余公积22,766,712.6722,766,712.6722,766,712.6722,766,712.67
  未分配利润1,155,150,105.84530,900,368.81-407,183,519.85-110,257,778.01
  归属于母公司股东权益合计8,068,028,973.013,533,639,529.92-19,355,639.843,278,865,476.16
  股东权益合计8,068,028,973.013,533,639,529.92-19,355,639.843,278,865,476.16
  负债和股东权益合计43,419,084,639.2734,377,780,238557,025,680.6919,442,762,470.8
公告日期2025-10-282025-08-292025-04-302025-04-28
审计意见(境内)标准无保留意见
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