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火炬电子

(603678)

  

流通市值:175.44亿  总市值:175.44亿
流通股本:4.76亿   总股本:4.76亿

资产负债表

报告期2025-06-302025-03-312024-12-312024-09-30
公司类型通用通用通用通用
流动资产:
  货币资金671,471,918.56503,749,819.19969,850,001.37570,619,150.13
  交易性金融资产268,018,831.24434,468,129.2527,078,606.4348,327,510.66
  应收票据及应收账款2,087,086,547.811,852,576,678.951,698,521,216.561,690,647,860.79
  其中:应收票据176,654,193.81281,065,113.06325,831,804.13167,776,669.54
        应收账款1,910,432,3541,571,511,565.891,372,689,412.431,522,871,191.25
  应收款项融资128,259,632.54196,949,603.74196,843,049.42149,508,847.84
  预付款项112,241,558.5321,589,319.0815,959,903.6723,017,019.59
  其他应收款合计114,287,598.22117,023,769.11112,797,028.11108,866,902.39
  存货1,378,456,136.511,372,832,078.291,309,565,887.91,312,802,752.58
  一年内到期的非流动资产42,462,638.8994,743,944.4594,099,388.9393,442,277.8
  其他流动资产20,805,106.5121,449,375.5141,158,630.6889,415,433.53
  流动资产合计4,823,089,968.814,615,382,717.574,465,873,713.044,386,647,755.31
非流动资产:
  长期股权投资16,216,900.2216,354,799.3816,354,674.1420,954,419.78
  其他权益工具投资92,821,600.1892,198,826.1692,575,095.893,503,588.37
  投资性房地产6,530,909.166,655,927.916,780,946.671,177,084.99
  固定资产2,378,562,992.652,407,744,073.522,414,892,212.422,280,706,910.64
  在建工程92,127,964.2355,250,642.7982,505,001.72107,170,662.92
  使用权资产16,751,278.2113,071,065.8914,756,127.5917,804,998.52
  无形资产246,809,528.12252,885,173.14242,699,948248,358,540.24
  商誉112,475,589.86107,006,360.57107,026,947.08132,162,835.87
  长期待摊费用53,696,896.0657,263,168.3258,861,992.6451,766,754.29
  递延所得税资产77,281,763.784,719,743.784,685,361.1372,227,761.04
  其他非流动资产120,243,493.64118,332,490.96120,466,315.92200,818,772.25
  非流动资产合计3,213,518,916.033,211,482,272.343,241,604,623.113,226,652,328.91
  资产总计8,036,608,884.847,826,864,989.917,707,478,336.157,613,300,084.22
流动负债:
  短期借款455,553,842.25370,782,348.18286,007,658.7255,205,654.09
  应付票据及应付账款419,694,269.73443,571,465.13459,971,950.45413,482,524.77
  其中:应付票据34,488,170.1242,397,594.6932,399,743.3119,929,830.8
        应付账款385,206,099.61401,173,870.44427,572,207.14393,552,693.97
  预收款项33,455.353,841.83103,065.17,932.94
  合同负债6,762,872.454,862,105.233,071,973.73,249,628.88
  应付职工薪酬29,492,613.6922,002,101.9177,306,798.0722,582,124.77
  应交税费64,961,224.5853,198,799.8323,364,139.8344,736,434.6
  其他应付款合计37,906,016.45,083,934.2615,406,801.5536,443,942.48
        应付股利---31,883,041.61
  一年内到期的非流动负债132,355,331.44143,756,105.55132,267,330.6175,487,983.31
  其他流动负债823,245.58556,365.8314,813.52349,324.78
  流动负债合计1,147,582,871.421,043,867,067.72997,814,531.53851,545,550.62
非流动负债:
  长期借款334,070,257.25363,623,860.78388,944,110.78444,012,354.14
  应付债券-321,711,472.93402,753,101.48400,143,647.64
  租赁负债11,939,098.158,585,151.289,827,123.8711,146,758.38
  递延收益172,417,684.48176,831,580.99182,249,439.81150,295,211.82
  递延所得税负债8,373,848.018,630,785.348,722,221.0410,403,163.97
  非流动负债合计526,800,887.89879,382,851.32992,495,996.981,016,001,135.95
  负债合计1,674,383,759.311,923,249,919.041,990,310,528.511,867,546,686.57
所有者权益(或股东权益):
  实收资本(或股本)475,566,631461,945,485458,342,279458,339,982
  其他权益工具-52,780,780.4266,503,942.7466,512,710.31
  资本公积1,661,512,541.931,358,408,563.241,263,091,485.081,262,663,848.59
  减:库存股24,997,400.7490,482,104.7190,482,104.7190,482,104.71
  其他综合收益32,196,594.1536,086,097.1637,875,320.4729,015,076.25
  盈余公积363,814,934.45363,814,934.45363,814,934.45346,579,719.5
  未分配利润3,619,772,656.543,493,651,283.813,386,986,291.123,435,663,263.34
  归属于母公司股东权益合计6,127,865,957.335,676,205,039.375,486,132,148.155,508,292,495.28
  少数股东权益234,359,168.2227,410,031.5231,035,659.49237,460,902.37
  股东权益合计6,362,225,125.535,903,615,070.875,717,167,807.645,745,753,397.65
  负债和股东权益合计8,036,608,884.847,826,864,989.917,707,478,336.157,613,300,084.22
公告日期2025-08-232025-04-292025-03-222024-10-29
审计意见(境内)标准无保留意见
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