当前位置:首页 - 行情中心 - 百傲化学(603360) - 财务分析 - 资产负债表

百傲化学

(603360)

  

流通市值:145.48亿  总市值:145.48亿
流通股本:7.06亿   总股本:7.06亿

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1,186,493,744.111,172,775,391.35651,626,585.99541,013,834.32
  交易性金融资产57,874,172.1657,874,172.16153,454,678.89103,454,678.89
  应收票据及应收账款274,734,114.89252,006,176.04282,323,544.13312,986,819.71
  其中:应收票据49,070,331.9638,629,961.2537,074,625.1535,493,472.67
        应收账款225,663,782.93213,376,214.79245,248,918.98277,493,347.04
  应收款项融资19,754,626.574,011,499.7655,170.572,559,007.45
  预付款项78,194,605.4321,655,680.6524,653,975.5790,125,553.13
  其他应收款合计19,582,157.7319,727,389.88137,037,039.14135,620,500.87
  存货1,049,535,688.711,055,730,023.861,147,717,888.411,129,635,278.33
  合同资产887,027.51,366,147.57,157,632.68,093,532.6
  其他流动资产59,224,835.3351,782,456.3457,358,660.3157,670,130.15
  流动资产合计2,746,280,972.432,636,928,937.542,461,385,175.612,381,159,335.45
非流动资产:
  长期股权投资97,398,337.84100,065,700.2299,686,135.0596,847,564.96
  其他权益工具投资50,000,00050,000,00050,000,00050,000,000
  投资性房地产314,736.2335,428.4356,120.6376,812.8
  固定资产642,375,381.39662,152,773.86635,072,326.53624,746,553.79
  在建工程3,414,259.42,118,753.513,350,232.0927,874,915.29
  使用权资产30,088,820.5825,490,832.2825,461,862.8327,132,457.92
  无形资产120,568,173.39124,135,743.74127,734,675.4131,320,433.05
  开发支出--656,136.51-
  商誉230,532,246.93230,532,246.93230,532,246.93230,532,246.93
  长期待摊费用27,420,682.6628,815,063.1227,770,662.4327,610,922.71
  递延所得税资产26,348,991.6724,496,823.7327,482,083.2926,118,143.68
  其他非流动资产14,710,649.59,665,233.779,725,378.779,893,363.83
  非流动资产合计1,243,172,279.561,257,808,599.551,247,827,860.431,252,453,414.96
  资产总计3,989,453,251.993,894,737,537.093,709,213,036.043,633,612,750.41
流动负债:
  短期借款305,936,024.5255,957,195.14282,238,194.44389,363,856.63
  应付票据及应付账款81,547,373.388,376,790.8894,605,265.2186,128,822.54
  其中:应付票据--611,527.15-
        应付账款81,547,373.388,376,790.8893,993,738.0686,128,822.54
  合同负债174,568,053.8149,685,995.1199,878,193.36152,082,225.62
  应付职工薪酬17,066,345.926,876,700.316,091,112.715,857,355.58
  应交税费30,940,415.4437,179,642.6827,863,070.6224,382,850.44
  其他应付款合计623,035.324,759,931.466,090,394.422,622,525.28
  一年内到期的非流动负债281,743,557.43283,813,120.87128,726,693.26139,096,761.5
  其他流动负债68,470,225.952,449,637.3256,675,984.7150,374,695.71
  流动负债合计960,895,031.57919,099,013.75812,168,908.72859,909,093.3
非流动负债:
  长期借款830,593,500783,305,000683,857,500474,452,500
  租赁负债23,710,308.2420,829,061.8224,823,257.3224,996,413.47
  预计负债2,784,962.5212,762,900.786,952,312.387,616,051.76
  递延收益79,031,410.879,515,785.812,430,50012,752,125
  递延所得税负债38,966,332.9440,571,621.0937,222,400.4339,322,029.26
  非流动负债合计975,086,514.5936,984,369.49765,285,970.13559,139,119.49
  负债合计1,935,981,546.071,856,083,383.241,577,454,878.851,419,048,212.79
所有者权益(或股东权益):
  实收资本(或股本)706,223,654706,223,654706,223,654706,223,654
  资本公积141,772,441.38141,703,963.6102,102,840.89100,952,555.37
  减:库存股400,016,310.62400,016,310.62111,570,341.58-
  其他综合收益-11,675,903.19-12,550,261.04-11,613,353.96-11,254,454.12
  专项储备2,918,980.112,206,956.521,968,914.091,221,361.97
  盈余公积212,136,757.62212,136,757.62197,047,494.26197,047,494.26
  未分配利润758,696,689.76738,270,639.09675,534,850.61642,326,635.77
  归属于母公司股东权益合计1,410,056,309.061,387,975,399.171,559,694,058.311,636,517,247.25
  少数股东权益643,415,396.86650,678,754.68572,064,098.88578,047,290.37
  股东权益合计2,053,471,705.922,038,654,153.852,131,758,157.192,214,564,537.62
  负债和股东权益合计3,989,453,251.993,894,737,537.093,709,213,036.043,633,612,750.41
公告日期2026-04-282026-04-282025-10-302025-08-29
审计意见(境内)标准无保留意见
TOP↑