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金宏气体

(688106)

  

流通市值:93.70亿  总市值:93.70亿
流通股本:4.82亿   总股本:4.82亿

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854,713,116.4859,121,897.92692,637,878.19770,846,257.1
  交易性金融资产564,066,402.78480,567,383.55505,217,706.82695,316,289.02
  应收票据及应收账款537,561,886.91505,397,146.38513,290,261.85533,210,617.87
  其中:应收票据113,754,401.06109,036,213.32133,502,607.61125,568,037.83
        应收账款423,807,485.85396,360,933.06379,787,654.24407,642,580.04
  应收款项融资133,931,411.55129,552,214.92142,794,589.04158,156,629.97
  预付款项51,554,380.6567,710,414.2568,599,193.4155,339,927.3
  其他应收款合计27,634,433.715,946,570.8521,332,195.230,029,485.39
  存货137,813,089.12148,778,008.39154,547,381.78136,093,475.88
  一年内到期的非流动资产27,292,035.427,292,035.427,646,293.8427,292,035.4
  其他流动资产170,143,309.77139,928,533.83135,658,541.94130,480,969.71
  流动资产合计2,504,710,066.282,374,294,205.492,261,724,042.072,536,765,687.64
非流动资产:
  长期应收款72,290,815.9378,130,810.1383,437,290.5589,516,920.13
  长期股权投资---579,159.7
  其他权益工具投资92,096,017.132,096,017.132,096,017.132,542,152.54
  投资性房地产26,350,210.7626,942,849.0827,535,487.4328,128,125.78
  固定资产3,091,394,906.312,105,150,175.252,165,865,798.982,173,811,729.22
  在建工程743,249,806.151,266,828,322.391,081,968,247.88885,016,302.66
  使用权资产67,145,172.3569,345,850.2371,321,766.873,090,806.06
  无形资产317,717,818.81310,328,941.4316,126,571.52339,614,263.63
  商誉337,539,669.76304,225,478.04297,717,876.94329,389,846.94
  长期待摊费用46,054,808.4929,035,260.4130,159,953.137,888,715.57
  递延所得税资产79,149,466.534,073,517.4343,883,269.2149,732,562.69
  其他非流动资产452,258,969.03420,417,098.43355,391,115.18344,192,135.84
  非流动资产合计5,325,247,661.194,676,574,319.894,505,503,394.694,383,502,720.76
  资产总计7,829,957,727.477,050,868,525.386,767,227,436.766,920,268,408.4
流动负债:
  短期借款669,523,241.18481,021,841.08184,572,345.74331,631,889.4
  交易性金融负债2,436,9002,436,900--
  应付票据及应付账款821,010,661.8689,368,990.32717,523,735.33709,164,815.46
  其中:应付票据353,246,311.62392,225,069.41372,925,121.7363,792,871.96
        应付账款467,764,350.18297,143,920.91344,598,613.63345,371,943.5
  合同负债41,794,621.0339,340,575.6453,076,722.5453,334,531.77
  应付职工薪酬39,223,963.5739,363,092.267,743,531.3755,917,642.9
  应交税费25,541,811.2530,648,454.5424,074,540.8521,700,780.38
  其他应付款合计127,202,967.26123,389,622.2181,627,147.2493,561,728.28
  一年内到期的非流动负债422,405,534.81389,498,068.58145,403,046.87159,244,828.19
  其他流动负债3,561,408.573,953,443.012,220,083.633,843,618.88
  流动负债合计2,152,701,109.471,799,020,987.581,276,241,153.571,428,399,835.26
非流动负债:
  长期借款1,059,738,568.67728,766,731.78977,889,002.64938,045,314.72
  应付债券913,209,062.54904,478,763.18895,844,859.84887,377,987.8
  租赁负债23,526,941.2424,421,744.0618,767,797.0527,314,134.62
  预计负债-10,60010,60010,600
  递延收益66,613,738.8165,554,121.9365,883,715.0559,197,315.7
  递延所得税负债227,847,615.87181,533,732.34182,738,033.22190,072,534.82
  非流动负债合计2,290,935,927.131,904,765,693.292,141,134,007.82,102,017,887.66
  负债合计4,443,637,036.63,703,786,680.873,417,375,161.373,530,417,722.92
所有者权益(或股东权益):
  实收资本(或股本)481,977,496481,977,391481,977,235481,972,729
  其他权益工具160,063,609.12160,063,924.24160,064,396.97160,077,947.15
  资本公积1,546,257,024.641,551,880,013.021,546,273,503.311,691,349,422.09
  减:库存股94,582,021.6794,582,021.6791,581,647.99198,867,658.17
  其他综合收益2,291,850.93-965,551.742,109,659.93-1,763,478.08
  专项储备35,875,917.0231,388,641.9427,801,879.5626,545,628.25
  盈余公积176,461,549.18176,461,549.18176,461,549.18146,203,699.4
  未分配利润795,125,329.29804,642,017.61760,638,775.92799,797,327.61
  归属于母公司股东权益合计3,103,470,754.513,110,865,963.583,063,745,351.883,105,315,617.25
  少数股东权益282,849,936.36236,215,880.93286,106,923.51284,535,068.23
  股东权益合计3,386,320,690.873,347,081,844.513,349,852,275.393,389,850,685.48
  负债和股东权益合计7,829,957,727.477,050,868,525.386,767,227,436.766,920,268,408.4
公告日期2025-08-232025-04-262025-03-262024-10-30
审计意见(境内)标准无保留意见
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