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华兴源创

(688001)

  

流通市值:235.18亿  总市值:235.18亿
流通股本:4.44亿   总股本:4.44亿

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519,305,913.55472,379,799.77471,320,103.77424,654,514.2
  交易性金融资产3,459,700-6,000,000-
  应收票据及应收账款1,452,445,310.51,608,563,314.591,677,668,368.551,538,068,379.63
  其中:应收票据9,984,854.1812,359,774.0121,377,480.7313,348,263.86
        应收账款1,442,460,456.321,596,203,540.581,656,290,887.821,524,720,115.77
  应收款项融资11,836,276.2435,262,053.552,869,878.5870,031,191.35
  预付款项27,311,421.858,989,055.2720,625,141.1924,708,328.15
  其他应收款合计14,980,789.6519,011,350.3720,196,588.2920,111,567.59
  存货981,532,290.64845,407,569.21968,768,675.65957,290,258.85
  合同资产50,868,675.1252,535,613.4245,515,358.6345,515,358.63
  其他流动资产538,194,443.22533,425,827.06410,660,692.51384,234,084.04
  流动资产合计3,599,934,820.773,575,574,583.193,673,624,807.173,464,613,682.44
非流动资产:
  长期股权投资70,310,590.69-3,859,722.784,059,843.12
  其他非流动金融资产138,448,041.7128,330,160.23116,456,600.58152,628,630.71
  固定资产1,308,844,750.111,342,643,744.671,346,827,938.291,375,647,390.5
  在建工程9,261,629.954,445,177.827,799,267.158,490,910.11
  使用权资产41,823,350.2347,313,234.2550,751,265.535,506,344.87
  无形资产188,422,164.77195,367,714.98195,296,839.38200,977,716.61
  商誉291,028,950.39291,028,950.39291,028,950.39291,028,950.39
  长期待摊费用24,928,325.5523,931,421.1520,954,029.1522,616,482.18
  递延所得税资产21,953,738.0722,401,375.9330,156,234.4128,607,579.18
  其他非流动资产1,566,187.41,148,735.556,041,786.815,300,091.4
  非流动资产合计2,096,587,728.862,056,610,514.972,069,172,634.442,124,863,939.07
  资产总计5,696,522,549.635,632,185,098.165,742,797,441.615,589,477,621.51
流动负债:
  短期借款403,589,707.6269,041,869.82456,093,049.99478,527,731.77
  交易性金融负债32,039.04---
  应付票据及应付账款740,863,953.56779,665,279.05694,979,318.41594,316,457.12
  其中:应付票据259,706,497.27242,629,314.21167,345,766.692,857,923.74
        应付账款481,157,456.29537,035,964.84527,633,551.81501,458,533.38
  合同负债114,473,084.98116,690,211.24107,319,223.5109,183,184.35
  应付职工薪酬89,355,062.0490,822,389.8239,965,868.5538,481,079.31
  应交税费10,416,467.4837,680,771.7735,669,487.9143,957,154.95
  其他应付款合计31,944,795.4435,957,780.929,761,623.9329,520,632.92
  一年内到期的非流动负债23,560,845.521,209,546.429,197,272.4821,053,576.01
  其他流动负债7,883,687.6311,485,792.368,885,766.029,000,503.29
  流动负债合计1,422,119,643.271,362,553,641.361,401,871,610.791,324,040,319.72
非流动负债:
  应付债券734,444,318.45729,177,978.24723,846,483.16718,210,996.88
  租赁负债25,009,786.4529,048,229.7133,012,902.7423,377,810.83
  递延收益37,651,810.2738,512,215.3737,925,522.0638,850,272.54
  递延所得税负债20,448,022.5721,105,834.5619,666,080.0320,842,433.83
  非流动负债合计817,553,937.74817,844,257.88814,450,987.99801,281,514.08
  负债合计2,239,673,581.012,180,397,899.242,216,322,598.782,125,321,833.8
所有者权益(或股东权益):
  实收资本(或股本)444,489,881445,377,843445,377,843445,377,843
  其他权益工具61,135,923.461,136,029.4561,136,029.4560,062,266.22
  资本公积2,364,598,465.522,369,019,935.482,394,639,167.92,395,712,931.13
  减:库存股44,952,193.5855,619,701.9981,427,952.2274,647,458.01
  其他综合收益-11,217,387.83-8,001,483.4-4,602,270.69-659,411.71
  盈余公积148,235,130.13148,235,130.13138,046,219.63138,046,219.63
  未分配利润494,559,149.98491,639,446.25573,305,805.76500,263,397.45
  归属于母公司股东权益合计3,456,848,968.623,451,787,198.923,526,474,842.833,464,155,787.71
  股东权益合计3,456,848,968.623,451,787,198.923,526,474,842.833,464,155,787.71
  负债和股东权益合计5,696,522,549.635,632,185,098.165,742,797,441.615,589,477,621.51
公告日期2026-04-302026-04-302025-10-312025-08-30
审计意见(境内)标准无保留意见
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