当前位置:首页 - 行情中心 - 振华新材(688707) - 财务分析 - 资产负债表

振华新材

(688707)

  

流通市值:86.18亿  总市值:86.18亿
流通股本:5.09亿   总股本:5.09亿

资产负债表

报告期2026-03-312025-12-312025-09-302025-06-30
公司类型通用通用通用通用
流动资产:
  货币资金1,386,005,085.511,847,958,573.761,558,006,473.231,645,304,860.24
  交易性金融资产400,000,000200,000,000300,000,000600,000,000
  应收票据及应收账款316,362,553.11389,499,968.14418,862,306.04574,060,132.62
  其中:应收票据129,650,078.0730,029,106.3417,324,613.8839,218,452.39
        应收账款186,712,475.04359,470,861.8401,537,692.16534,841,680.23
  应收款项融资453,154,655.29258,082,921.36500,267,083.14324,969,385.24
  预付款项1,600,182.88570,043.661,532,494.151,732,037.68
  其他应收款合计2,130,720.911,947,154.632,077,136.82,017,756.81
  存货898,502,679.05707,946,408.07764,320,223.33794,163,117.15
  其他流动资产151,265,083.11136,735,239.69145,851,106.41140,814,416.33
  流动资产合计3,609,020,959.863,542,740,309.313,690,916,823.14,083,061,706.07
非流动资产:
  长期股权投资50,412,823.6350,268,978.5251,358,295.6452,629,910.05
  固定资产2,422,723,554.862,488,774,861.92,558,596,010.632,626,047,321.48
  在建工程89,247,731.489,240,305.6689,682,291.9190,559,397.72
  无形资产225,808,869.63227,702,126.78228,974,607.43228,866,826.32
  长期待摊费用8,253,745.788,918,826.5910,038,473.1611,181,516.66
  递延所得税资产157,358,279.14157,303,709.28192,399,526.5172,019,059.55
  其他非流动资产3,089,792.322,329,451.892,337,749.692,537,356.31
  非流动资产合计2,956,894,796.763,024,538,260.623,133,386,954.963,183,841,388.09
  资产总计6,565,915,756.626,567,278,569.936,824,303,778.067,266,903,094.16
流动负债:
  短期借款560,292,319.42525,373,902.69550,366,180.37769,505,319.27
  应付票据及应付账款729,738,913.29589,644,241.05678,580,824.27733,476,193.87
  其中:应付票据545,505,916.86460,039,645.22380,176,382.04531,299,859.77
        应付账款184,232,996.43129,604,595.83298,404,442.23202,176,334.1
  合同负债9,158,404.532,198,814.163,020,218.571,985,954.87
  应付职工薪酬14,293,895.7123,282,323.1615,114,155.4813,526,210
  应交税费4,324,565.492,982,363.014,129,754.111,991,236.37
  其他应付款合计968,863.581,248,532.69854,098.681,438,137.79
  一年内到期的非流动负债262,751,957.34342,517,948.25326,225,695.91561,839,472.32
  其他流动负债3,533,817.593,023,769.642,725,852.398,113,248.31
  流动负债合计1,585,062,736.951,490,271,894.651,581,016,779.782,091,875,772.8
非流动负债:
  长期借款1,041,785,175.731,041,785,175.731,107,860,175.73922,710,175.73
  递延收益40,715,394.8541,498,398.4542,457,105.443,702,925.82
  递延所得税负债6,454,469.286,743,610.027,099,875.797,261,612.19
  非流动负债合计1,088,955,039.861,090,027,184.21,157,417,156.92973,674,713.74
  负债合计2,674,017,776.812,580,299,078.852,738,433,936.73,065,550,486.54
所有者权益(或股东权益):
  实收资本(或股本)508,740,205508,740,205508,740,205508,740,205
  资本公积3,151,313,015.113,151,313,015.113,151,313,015.113,151,313,015.11
  专项储备1,473,543.43942,641.9315,877.81362,334.53
  盈余公积50,694,217.9150,694,217.9150,641,039.7450,641,039.74
  未分配利润179,676,998.36275,289,411.16374,859,703.7490,296,013.24
  归属于母公司股东权益合计3,891,897,979.813,986,979,491.084,085,869,841.364,201,352,607.62
  股东权益合计3,891,897,979.813,986,979,491.084,085,869,841.364,201,352,607.62
  负债和股东权益合计6,565,915,756.626,567,278,569.936,824,303,778.067,266,903,094.16
公告日期2026-04-252026-04-252025-10-252025-08-16
审计意见(境内)标准无保留意见
TOP↑