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豪威集团

(603501)

  

流通市值:1257.49亿  总市值:1310.21亿
流通股本:12.10亿   总股本:12.61亿

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12,820,808,745.1611,773,156,053.6411,224,129,845.2610,836,614,670.63
  交易性金融资产125,672,949.95---
  应收票据及应收账款4,061,927,461.154,807,656,115.114,525,912,888.93,744,034,977.53
  其中:应收票据118,051,125.2191,264,399.5976,013,935.13-
        应收账款3,943,876,335.944,716,391,715.524,449,898,953.773,744,034,977.53
  应收款项融资219,184,600.13104,449,770.36104,190,866.31220,009,065.92
  预付款项298,291,718.25400,543,422.28212,725,425.87434,804,227.55
  其他应收款合计70,551,711.6773,087,736.886,757,829.2841,270,518.31
        应收股利--1,120,000-
  存货8,598,421,264.338,069,856,432.627,954,123,842.537,359,231,141.2
  一年内到期的非流动资产7,107,154.134,224,634.9957,441,494.3859,466,786.7
  其他流动资产264,585,436206,040,846.64189,979,649.53153,765,519.1
  流动资产平衡项目0-0.0100
  流动资产合计26,466,551,040.7725,439,015,012.4324,355,261,842.0622,849,196,906.94
非流动资产:
  长期应收款-3,122,671.479,903,848.423,012,467.03
  长期股权投资731,904,412.98460,563,173.32458,519,275.49455,667,986.81
  其他权益工具投资4,072,955.131,785,916,405.621,672,778,103.091,732,974,070.59
  其他非流动金融资产3,656,012,172.913,736,732,335.363,564,956,148.373,533,858,461.07
  投资性房地产222,728,508.25235,312,307.6237,732,463.58239,753,506.67
  固定资产3,442,032,997.383,395,071,283.083,319,322,566.433,120,532,255.86
  在建工程1,124,835,082.69997,515,899.61661,420,240.34634,454,947.26
  使用权资产139,402,493.62162,234,630.97154,155,600.03159,015,514.36
  无形资产1,995,511,856.562,120,929,933.932,224,336,881.452,145,445,657.41
  开发支出1,400,985,470.981,233,912,954.631,096,424,290.771,162,711,192.11
  商誉3,618,577,023.193,625,117,650.53,629,645,777.13,631,317,175.99
  长期待摊费用137,552,010.42156,870,889.07148,319,522.03150,588,453.4
  递延所得税资产529,162,056.55645,045,438.33635,247,706.94433,728,107.89
  其他非流动资产131,180,914.22211,487,416.41316,275,429.57134,583,531.5
  非流动资产合计17,133,957,954.8818,769,832,989.918,129,037,853.6117,537,643,327.95
  资产总计43,600,508,995.6544,208,848,002.3342,484,299,695.6740,386,840,234.89
流动负债:
  短期借款2,078,985,512.662,184,726,861.911,575,488,657.211,808,824,236.11
  应付票据及应付账款2,234,501,984.642,524,874,142.382,704,486,679.212,273,990,200.35
        应付账款2,234,501,984.642,524,874,142.382,704,486,679.212,273,990,200.35
  合同负债240,285,078.55244,705,207.73204,463,535.09240,500,807.65
  应付职工薪酬349,228,870.82287,400,421.42286,676,073.93233,893,374.39
  应交税费342,964,171.34291,379,260.69248,866,147.15276,488,717.26
  其他应付款合计1,331,045,097.821,033,587,285.191,387,670,593.09937,486,370.17
        应付股利5,046,4701,843,904.77266,303,577.611,991,344.76
  一年内到期的非流动负债6,004,932,453.273,771,655,345.333,622,610,457.254,374,234,771.44
  其他流动负债4,127,007.765,511,279.336,214,734.9914,973,378.57
  流动负债合计12,586,070,176.8610,343,839,803.9810,036,476,877.9210,160,391,855.94
非流动负债:
  长期借款1,617,721,215.792,277,682,645.792,434,671,532.051,243,100,000
  应付债券-2,532,973,303.032,513,722,089.932,542,053,486.41
  租赁负债95,285,668.89107,345,471.02101,467,536.9115,749,903.31
  预计负债472,803,347.7502,979,454.67460,132,683.98434,696,197
  递延收益45,690,625.8438,879,067.5141,135,842.4413,528,879.97
  递延所得税负债629,078,839.61704,714,989.37618,305,481.68560,026,411.38
  其他非流动负债--91,380,00092,693,307.48
  非流动负债合计2,860,579,697.836,164,574,931.396,260,815,166.985,001,848,185.55
  负债合计15,446,649,874.6916,508,414,735.3716,297,292,044.915,162,240,041.49
所有者权益(或股东权益):
  实收资本(或股本)1,209,759,8891,206,382,4121,217,170,6491,216,948,288
  其他权益工具232,974,864.81232,976,205.73232,981,282.07233,005,227.09
  资本公积11,165,891,382.9810,876,584,012.2911,738,667,145.9711,651,514,527.3
  减:库存股348,056,924.73348,056,924.731,348,002,777.261,439,898,046.74
  其他综合收益418,976,477.56714,359,155.42517,051,332.32628,093,092.02
  盈余公积328,318,602.61203,693,079.22203,693,079.22203,693,079.22
  未分配利润15,164,190,737.1214,821,775,985.2813,631,336,269.512,733,886,350.45
  归属于母公司股东权益合计28,172,055,029.3527,707,713,925.2126,192,896,980.8225,227,242,517.34
  少数股东权益-18,195,908.39-7,280,658.25-5,889,330.05-2,642,323.94
  股东权益合计28,153,859,120.9627,700,433,266.9626,187,007,650.7725,224,600,193.4
  负债和股东权益合计43,600,508,995.6544,208,848,002.3342,484,299,695.6740,386,840,234.89
公告日期2026-03-312025-10-292025-08-302025-04-30
审计意见(境内)标准无保留意见
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