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巍华新材

(603310)

  

流通市值:31.70亿  总市值:56.43亿
流通股本:1.94亿   总股本:3.45亿

资产负债表

报告期2026-03-312025-12-312025-09-302025-06-30
公司类型通用通用通用通用
流动资产:
  货币资金1,458,519,927.211,086,432,512.391,275,369,654.831,579,214,589.43
  交易性金融资产433,723,190.77639,598,299.48451,187,274.33166,240,820.47
  应收票据及应收账款476,996,057.64344,501,881.17292,202,692.24297,371,039.4
  其中:应收票据129,225,677.97105,091,901.09112,698,119.5390,728,033.79
        应收账款347,770,379.67239,409,980.08179,504,572.71206,643,005.61
  应收款项融资50,124,267.5236,451,403.2945,173,034.4740,175,487.6
  预付款项28,534,114.239,237,630.8819,977,211.259,385,239.43
  其他应收款合计4,944,650.72907,860.471,068,038.681,292,681.29
  存货364,259,746.86251,800,905.64258,523,188.83226,034,926.67
  一年内到期的非流动资产-205,498,356.15--
  其他流动资产81,589,319.5663,055,364.8754,897,575.6450,484,439.76
  流动资产合计2,898,691,274.512,637,484,214.342,398,398,670.272,370,199,224.05
非流动资产:
  长期股权投资58,432,687.4962,008,492.3724,923,457.428,378,857.74
  其他非流动金融资产203,849,254.74154,318,219.35128,086,99619,086,996
  固定资产1,239,487,783.34841,054,232.49844,871,812.76819,984,816.74
  在建工程479,325,035.57508,432,634.07377,019,951.97341,830,765.43
  使用权资产90,548.83120,731.77150,914.71181,097.65
  无形资产219,414,555.76174,763,617.86173,011,213.9174,738,647.15
  长期待摊费用238,588.56126,334.74157,918.44189,502.14
  递延所得税资产7,274,681.452,656,794.86,672,588.685,621,610.24
  其他非流动资产445,254,275.59490,550,804.19705,677,406.29759,625,612.77
  非流动资产合计2,653,367,411.332,234,031,861.642,260,572,260.152,149,637,905.86
  资产总计5,552,058,685.844,871,516,075.984,658,970,930.424,519,837,129.91
流动负债:
  短期借款70,259,906.0615,495,221.515,371,6426,890,641.01
  应付票据及应付账款401,930,598.14248,758,554.21177,999,950.37175,999,319.92
  其中:应付票据62,815,445---
        应付账款339,115,153.14248,758,554.21177,999,950.37175,999,319.92
  合同负债9,874,384.84520,402.471,619,424.92733,847.76
  应付职工薪酬20,880,469.4531,285,958.129,599,222.6722,894,669.9
  应交税费14,086,424.0515,797,674.546,947,557.665,631,952.89
  其他应付款合计226,899,950.4410,871,827.310,138,949.579,365,798.11
        应付股利46,000,000---
  一年内到期的非流动负债107,547.17106,456.8104,837103,235.89
  其他流动负债89,977,311.9862,675,434.0358,071,988.251,349,270.16
  流动负债合计834,016,592.13385,511,528.95299,853,572.39272,968,735.64
非流动负债:
  长期借款72,000,000---
  长期应付款318,550,185275,342,924.75232,438,165.78138,309,731.52
  递延收益63,044,362.6248,702,749.537,522,783.1739,256,548.3
  递延所得税负债2,635,770.985,776,709.583,607,305.51,776,311.64
  非流动负债合计456,230,318.6329,822,383.83273,568,254.45179,342,591.46
  负债合计1,290,246,910.73715,333,912.78573,421,826.84452,311,327.1
所有者权益(或股东权益):
  实收资本(或股本)345,340,000345,340,000345,340,000345,340,000
  资本公积1,910,926,589.61,910,926,589.61,910,926,589.61,910,926,589.6
  专项储备1,664,980.271,414,499.531,331,348.433,254,632.76
  盈余公积168,821,521.81168,821,521.81150,287,958.19150,287,958.19
  未分配利润1,641,531,898.681,600,393,428.581,558,243,663.491,532,858,746.04
  归属于母公司股东权益合计4,068,284,990.364,026,896,039.523,966,129,559.713,942,667,926.59
  少数股东权益193,526,784.75129,286,123.68119,419,543.87124,857,876.22
  股东权益合计4,261,811,775.114,156,182,163.24,085,549,103.584,067,525,802.81
  负债和股东权益合计5,552,058,685.844,871,516,075.984,658,970,930.424,519,837,129.91
公告日期2026-04-252026-04-252025-10-232025-08-27
审计意见(境内)标准无保留意见
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