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瑞华泰

(688323)

  

流通市值:26.28亿  总市值:26.28亿
流通股本:1.80亿   总股本:1.80亿

资产负债表

报告期2025-09-302025-06-302025-03-312024-12-31
公司类型通用通用通用通用
流动资产:
  货币资金154,286,302.28219,229,050.99141,328,906.84152,211,590.34
  应收票据及应收账款152,052,342.52129,739,502.18124,009,866.72121,337,356.06
  其中:应收票据53,975,987.0946,259,015.1640,727,414.6230,528,080.77
        应收账款98,076,355.4383,480,487.0283,282,452.190,809,275.29
  应收款项融资23,354,555.3937,782,069.4834,184,658.2830,694,727.6
  预付款项1,611,977.942,361,028.933,924,037.582,644,184.59
  其他应收款合计779,299.44892,805.05874,863.18876,810.87
  存货102,439,293.297,832,303.5387,432,514.5872,537,207.89
  其他流动资产119,399.551,743,884.653,442,147.481,029,040.34
  流动资产合计434,643,170.32489,580,644.81395,196,994.66381,330,917.69
非流动资产:
  长期股权投资32,851,584.5635,507,237.0935,715,005.9236,020,138.39
  其他非流动金融资产23,211,068.7423,329,095.1723,426,533.7823,546,099.5
  固定资产1,451,637,462.041,485,818,144.711,511,290,297.521,302,071,477.9
  在建工程443,209,764.14438,197,805.4435,718,030.16658,659,284.61
  使用权资产671,604.6987,778.861,303,953.121,620,127.38
  无形资产110,930,638.03111,956,944.6112,479,084.51112,566,159.68
  长期待摊费用7,498,087.568,231,751.548,978,910.829,726,070.39
  递延所得税资产22,962,208.622,878,517.3317,973,713.6912,921,831.5
  其他非流动资产18,667,849.4615,232,995.2224,548,536.9425,485,044.13
  非流动资产合计2,111,640,267.732,142,140,269.922,171,434,066.462,182,616,233.48
  资产总计2,546,283,438.052,631,720,914.732,566,631,061.122,563,947,151.17
流动负债:
  短期借款180,049,763.41169,026,545.87105,651,268.8467,334,597.47
  应付票据及应付账款162,377,740.2184,320,707.93192,536,367.61213,228,875.19
  其中:应付票据14,000,00020,500,00011,500,00012,342,205.67
        应付账款148,377,740.2163,820,707.93181,036,367.61200,886,669.52
  合同负债22,846.45495,324.47521,399.11225,934.35
  应付职工薪酬13,536,272.429,869,661.2612,793,810.4916,598,857.64
  应交税费11,821,786.589,874,442.68,714,139.245,428,778.45
  其他应付款合计958,000958,000958,0001,458,000
  一年内到期的非流动负债318,013,907.18264,588,986.93252,839,220.49166,427,670.2
  其他流动负债32,968,954.232,244,780.4425,680,567.2215,012,467.44
  流动负债合计719,749,270.44671,378,449.5599,694,773485,715,180.74
非流动负债:
  长期借款443,575,000552,212,500581,562,500702,000,000
  应付债券380,182,499.77375,095,989.08367,696,503.12360,297,017.16
  租赁负债201,261.98240,234.7315,747.02390,558.02
  递延收益121,344,159.64122,503,901.2391,678,889.4771,373,296.03
  递延所得税负债829,420.7902,931.87976,443.091,049,954.3
  非流动负债合计946,132,342.091,050,955,556.881,042,230,082.71,135,110,825.51
  负债合计1,665,881,612.531,722,334,006.381,641,924,855.71,620,826,006.25
所有者权益(或股东权益):
  实收资本(或股本)180,000,224180,000,224180,000,224180,000,224
  其他权益工具123,321,230.35123,321,230.35123,321,230.35123,321,230.35
  资本公积544,333,109.93544,333,109.93544,333,109.93544,333,109.93
  盈余公积20,192,712.120,192,712.120,192,712.120,192,712.1
  未分配利润12,554,549.1441,539,631.9756,858,929.0475,273,868.54
  归属于母公司股东权益合计880,401,825.52909,386,908.35924,706,205.42943,121,144.92
  股东权益合计880,401,825.52909,386,908.35924,706,205.42943,121,144.92
  负债和股东权益合计2,546,283,438.052,631,720,914.732,566,631,061.122,563,947,151.17
公告日期2025-10-312025-08-232025-04-302025-03-22
审计意见(境内)标准无保留意见
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