当前位置:首页 - 行情中心 - 百利天恒(688506) - 财务分析 - 资产负债表

百利天恒

(688506)

  

流通市值:391.00亿  总市值:1568.96亿
流通股本:1.03亿   总股本:4.13亿

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6,085,691,597.593,149,745,235.333,667,937,163.823,220,120,969.2
  交易性金融资产71,277,285.55---
  衍生金融资产1,300,237.174,850,664.85--
  应收票据及应收账款1,867,471,072.1777,700,761.491,870,959.23118,596,276.36
  其中:应收票据9,307,342.968,659,551.9811,703,092.5311,880,611.39
        应收账款1,858,163,729.2169,041,209.4280,167,866.7106,715,664.97
  应收款项融资5,486,680.210,256,428.4714,503,823.8120,118,199.27
  预付款项109,523,525.66109,212,631.5697,392,571.2581,590,484.92
  其他应收款合计34,200,795.3831,916,614.5834,026,286.7734,334,730.04
  存货170,755,134.46184,383,012.95192,941,670.97162,191,590.25
  其他流动资产3,013,837,228.612,704,309,701.312,469,496,607.642,670,252,338.07
  流动资产合计11,359,543,556.796,272,375,050.456,568,169,083.496,307,204,588.11
非流动资产:
  投资性房地产1,155,717.411,218,046.971,327,394.811,342,706.09
  固定资产507,421,113.45506,065,164.71500,972,683.67498,930,286.88
  在建工程120,820,354.7492,083,942.8874,715,719.6935,508,469.53
  使用权资产136,713,668.6957,465,788.1834,927,42338,650,587.94
  无形资产28,998,755.6329,388,375.7727,067,460.1426,681,473
  长期待摊费用21,413,704.9722,195,590.2818,813,147.2218,397,147.19
  递延所得税资产122,625,097.35187,277,847.15193,505,458.48179,195,051.59
  其他非流动资产20,520,520.4916,849,779.1419,693,434.3631,447,349.74
  非流动资产合计959,668,932.73912,544,535.08871,022,721.37830,153,071.96
  资产总计12,319,212,489.527,184,919,585.537,439,191,804.867,137,357,660.07
流动负债:
  短期借款250,311,597.18250,178,055.52595,635,956.93595,504,590.25
  应付票据及应付账款558,739,739.94586,757,424.55573,106,749.99497,998,432.6
  其中:应付票据80,361,00061,920,00088,660,000105,450,000
        应付账款478,378,739.94524,837,424.55484,446,749.99392,548,432.6
  合同负债355,644,890.09356,824,499.54359,774,824.02356,134,756.79
  应付职工薪酬80,502,725.1564,359,146.6642,163,555.2779,478,708.11
  应交税费106,302,273.612,856,160.3133,502,867.5831,293,051.51
  其他应付款合计195,493,722.75186,135,288.54163,095,766.16156,089,849.47
  一年内到期的非流动负债585,585,657.81249,358,791.54217,149,435.04255,475,413.6
  其他流动负债8,057,268.785,791,074.589,203,214.617,972,764.6
  流动负债合计2,140,637,875.31,712,260,441.241,993,632,369.61,979,947,566.93
非流动负债:
  长期借款2,810,090,0002,572,130,0001,992,630,0001,189,430,000
  租赁负债124,785,801.5445,185,635.9525,224,441.6928,125,557.94
  预计负债8,708,366.648,611,723.778,317,608.659,725,123.25
  递延收益62,328,356.5345,181,285.446,020,949.0242,266,593.04
  递延所得税负债1,768,732.782,665,638.61,938,038.871,938,038.87
  非流动负债合计3,007,681,257.492,673,774,283.722,074,131,038.231,271,485,313.1
  负债合计5,148,319,132.794,386,034,724.964,067,763,407.833,251,432,880.03
所有者权益(或股东权益):
  实收资本(或股本)412,873,817401,000,000401,000,000401,000,000
  资本公积4,649,049,847.44916,137,990.33901,637,086.33885,835,697.01
  其他综合收益4,925,320.471,138,797.51,666,878.1528,799.92
  盈余公积13,536,731.7713,536,731.7713,536,731.7713,536,731.77
  未分配利润2,090,507,640.051,467,071,340.972,053,587,700.832,585,023,551.34
  归属于母公司股东权益合计7,170,893,356.732,798,884,860.573,371,428,397.033,885,924,780.04
  股东权益合计7,170,893,356.732,798,884,860.573,371,428,397.033,885,924,780.04
  负债和股东权益合计12,319,212,489.527,184,919,585.537,439,191,804.867,137,357,660.07
公告日期2025-10-272025-08-202025-04-302025-03-29
审计意见(境内)标准无保留意见
TOP↑