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康希诺

(688185)

  

流通市值:87.58亿  总市值:188.80亿
流通股本:1.15亿   总股本:2.47亿

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1,612,398,072.271,521,499,128.742,022,519,453.671,364,455,953.58
  交易性金融资产1,339,525,105.791,566,769,268.411,181,854,237.441,918,697,714.94
  衍生金融资产1,400,676.572,629,946.651,263,333.74-
  应收票据及应收账款660,325,856.11665,932,535.69737,621,939.02678,057,887.74
        应收账款660,325,856.11665,932,535.69737,621,939.02678,057,887.74
  预付款项37,841,029.6441,402,533.3743,999,159.3851,085,314.76
  其他应收款合计12,632,931.7811,557,752.3410,001,787.089,265,137.22
  存货339,753,884.05322,559,055.8283,414,610.09345,069,469.25
  一年内到期的非流动资产321,257,500---
  其他流动资产9,703,374.031,936,108.531,816,195.232,622,954.29
  流动资产合计4,334,838,430.244,134,286,329.534,282,490,715.654,369,254,431.78
非流动资产:
  长期股权投资15,847,610.4916,223,849.9416,791,900.0417,312,820.64
  其他非流动金融资产148,940,936.11148,286,799.68150,635,917.2148,655,764.73
  固定资产1,500,741,340.351,311,375,253.271,350,588,132.061,381,957,088.81
  在建工程1,130,193,033.621,306,841,124.351,267,729,872.331,091,150,232.15
  使用权资产16,367,647.1617,974,715.7722,540,987.7917,677,686.91
  无形资产198,286,530.23112,214,227.98115,487,643.61119,163,151.34
  开发支出102,795,706.82172,323,815.7156,112,171.6145,488,811.9
  长期待摊费用14,746,319.7315,234,245.1316,093,67922,753,778.36
  递延所得税资产211,265,163.78210,569,390.54205,394,652.07206,379,259.59
  其他非流动资产31,004,448.06375,057,657.76374,266,564.03469,773,944.56
  非流动资产合计3,370,188,736.353,686,101,080.123,675,641,519.733,620,312,538.99
  资产总计7,705,027,166.597,820,387,409.657,958,132,235.387,989,566,970.77
流动负债:
  短期借款81,424,070.22213,622,195.45377,348,417.32596,881,991.3
  衍生金融负债639,539.44-91,386.76883,233.39
  应付票据及应付账款46,237,419.9756,746,050.7962,473,685.1772,540,253.69
        应付账款46,237,419.9756,746,050.7962,473,685.1772,540,253.69
  合同负债45,037,740.7537,894,669.2114,687,408.1410,988,433.7
  应付职工薪酬94,113,422129,809,845.84119,109,864.841,942,245.36
  应交税费9,165,232.446,867,686.7719,385,656.5123,903,394.45
  其他应付款合计436,696,290.26421,265,997.39487,258,495.62427,319,733.66
  一年内到期的非流动负债933,693,566.41643,963,534.23531,313,594.88531,945,335.91
  其他流动负债40,556,868.2249,399,961.975,078,341.5965,196,762.59
  流动负债合计1,687,564,149.711,559,569,941.581,686,746,850.791,771,601,384.05
非流动负债:
  长期借款864,431,404.931,114,926,712.741,098,538,320.81962,118,320.79
  租赁负债9,327,632.9811,112,269.8812,675,754.5711,352,201.86
  递延收益240,300,312.76236,006,235.34250,299,655.48181,079,706.8
  非流动负债合计1,114,059,350.671,362,045,217.961,361,513,730.861,154,550,229.45
  负债合计2,801,623,500.382,921,615,159.543,048,260,581.652,926,151,613.5
所有者权益(或股东权益):
  实收资本(或股本)247,449,899247,449,899247,449,899247,449,899
  资本公积6,577,284,539.696,577,179,605.366,576,729,725.036,576,307,558.19
  减:库存股89,117,842.6395,622,519.1895,622,519.1898,112,133.22
  其他综合收益181,636.41219,852.13223,704.57204,606.19
  盈余公积118,388,703.29118,388,703.29118,388,703.29118,388,703.29
  未分配利润-1,950,783,269.55-1,948,843,290.49-1,937,297,858.98-1,780,823,276.18
  归属于母公司股东权益合计4,903,403,666.214,898,772,250.114,909,871,653.735,063,415,357.27
  股东权益合计4,903,403,666.214,898,772,250.114,909,871,653.735,063,415,357.27
  负债和股东权益合计7,705,027,166.597,820,387,409.657,958,132,235.387,989,566,970.77
公告日期2025-08-212025-04-302025-03-262024-10-30
审计意见(境内)标准无保留意见
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