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宏力达

(688330)

  

流通市值:53.19亿  总市值:53.19亿
流通股本:1.40亿   总股本:1.40亿

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493,707,678.58333,057,056.2831,704,385.41,339,785,881.68
  交易性金融资产1,266,017,196.651,432,437,125.621,046,567,793.67619,376,330.12
  应收票据及应收账款929,512,012.16912,408,471.79933,808,077.041,036,885,945.88
  其中:应收票据33,369,527.2938,739,506.0640,535,636.622,074,250.03
        应收账款896,142,484.87873,668,965.73893,272,440.441,014,811,695.85
  应收款项融资110,603,914.37153,137,913.94156,412,037.8159,448,259.08
  预付款项13,778,009.0411,312,855.219,697,694.4610,390,238.84
  其他应收款合计2,711,547.751,911,126.063,275,995.474,286,464.93
        应收股利802,298.93---
  存货88,977,017.94145,115,159.04143,612,768.06265,714,464.79
  合同资产42,470,825.6562,258,861.163,927,154.157,942,460.68
  其他流动资产194,009,073.958,184,161.9458,266,756.966,678,693.21
  流动资产合计3,141,787,276.043,109,822,730.893,257,272,662.973,400,508,739.21
非流动资产:
  长期股权投资89,233,697.6766,874,914.0457,392,824.5610,000,874.46
  其他非流动金融资产332,881,395.18324,470,172.46266,773,043.27192,053,067.2
  投资性房地产89,715,165.3690,609,146.6791,503,127.9892,397,109.29
  固定资产318,656,766.57325,286,711.88323,757,621.72136,262,331.45
  在建工程36,200,897.4833,312,183.9531,060,335.81221,716,004.72
  使用权资产4,445,423.114,523,293.345,054,659.935,586,026.52
  无形资产39,881,041.3540,063,173.7840,610,833.1741,070,997.81
  长期待摊费用11,840,876.812,499,460.5112,542,413.57805,742.46
  递延所得税资产61,196,700.6664,897,260.4160,833,244.7267,746,992.63
  其他非流动资产49,677,84354,207,031.8956,580,908.4260,947,825.23
  非流动资产合计1,033,729,807.181,016,743,348.93946,109,013.15828,586,971.77
  资产总计4,175,517,083.224,126,566,079.824,203,381,676.124,229,095,710.98
流动负债:
  短期借款55,545,750.1551,863,688.167,729,919.16105,584,813.48
  应付票据及应付账款96,602,418.44112,901,676.53146,304,175.54175,034,368.31
  其中:应付票据26,050,12211,524,09142,074,555.1661,360,002.16
        应付账款70,552,296.44101,377,585.53104,229,620.38113,674,366.15
  合同负债97,197,516.65130,582,171.44142,405,990.31171,573,927.35
  应付职工薪酬4,495,500.73,744,878.6318,284,881.483,892,712.21
  应交税费19,210,496.3319,571,487.429,827,503.5429,556,493.05
  其他应付款合计49,285,764.032,648,828.864,425,637.942,653,624.51
        应付股利47,157,348.56---
  其他流动负债6,706,876.82,036,966.3210,297,510.186,089,001.73
  流动负债合计329,044,323.1323,349,697.28419,275,618.15494,384,940.64
非流动负债:
  长期借款---26,624,227.78
  租赁负债4,144,207.254,131,902.294,686,359.434,788,638.89
  递延收益785,000785,000785,000785,000
  递延所得税负债3,466,637.433,293,523.593,440,673.261,245,090.99
  非流动负债合计8,395,844.688,210,425.888,912,032.6933,442,957.66
  负债合计337,440,167.78331,560,123.16428,187,650.84527,827,898.3
所有者权益(或股东权益):
  实收资本(或股本)140,000,000140,000,000140,000,000140,000,000
  资本公积2,168,308,402.532,168,308,402.532,168,308,402.532,168,308,402.53
  减:库存股30,013,479.2230,013,479.2230,013,479.2230,013,479.22
  盈余公积70,000,00070,000,00070,000,00065,301,670.01
  未分配利润1,478,380,188.111,447,795,852.541,426,899,101.971,357,671,219.36
  归属于母公司股东权益合计3,826,675,111.423,796,090,775.853,775,194,025.283,701,267,812.68
  少数股东权益11,401,804.02-1,084,819.19--
  股东权益合计3,838,076,915.443,795,005,956.663,775,194,025.283,701,267,812.68
  负债和股东权益合计4,175,517,083.224,126,566,079.824,203,381,676.124,229,095,710.98
公告日期2025-08-282025-04-302025-04-152024-10-30
审计意见(境内)标准无保留意见
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