当前位置:首页 - 行情中心 - 金天钛业(688750) - 财务分析 - 资产负债表

金天钛业

(688750)

  

流通市值:43.51亿  总市值:86.40亿
流通股本:2.33亿   总股本:4.63亿

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404,594,080.91664,156,560.4261,802,601.72301,477,996.83
  应收票据及应收账款948,663,498.14925,235,116.421,156,738,204.811,104,731,477.77
  其中:应收票据36,342,129.1336,572,340.96126,803,928.95102,680,334.35
        应收账款912,321,369.01888,662,775.461,029,934,275.861,002,051,143.42
  应收款项融资53,835,992.2550,965,903.3542,743,735.1936,562,452.83
  预付款项1,149,201.022,100,1223,107,662.4807,656.01
  其他应收款合计1,773,901824,321.164,149,360.862,062,742.19
  存货515,794,201.73484,741,827.93484,671,322.07408,516,680.67
  合同资产11,669,220.516,969,685.82--
  其他流动资产409,150,358.78206,853,140.01418,144,241.68459,412,767.75
  流动资产合计2,346,630,454.342,341,846,677.092,371,357,128.732,313,571,774.05
非流动资产:
  其他债权投资454,429,789.5451,729,174.38380,452,377.26346,113,797.88
  长期股权投资2,000,000---
  投资性房地产8,138,768.658,214,397.128,290,025.598,365,654.06
  固定资产412,348,831.57424,634,670.99438,506,221.96452,367,177.13
  在建工程398,277,383.48396,826,429.39278,284,017.89172,882,387.69
  使用权资产1,356,350.661,688,708.821,837,177.831,913,177.59
  无形资产40,989,850.8541,133,600.7541,509,272.0341,884,943.31
  递延所得税资产30,781,921.9530,247,154.2127,205,524.726,650,123.58
  其他非流动资产3,365,576.314,764,711.3112,443,388.870,064,297.64
  非流动资产合计1,351,688,472.971,359,238,846.971,188,528,006.061,120,241,558.88
  资产总计3,698,318,927.313,701,085,524.063,559,885,134.793,433,813,332.93
流动负债:
  应付票据及应付账款797,803,589.55797,624,866.61678,135,636.54592,957,243.93
  其中:应付票据220,243,680.11274,952,643.55220,066,694.32168,005,623.18
        应付账款577,559,909.44522,672,223.06458,068,942.22424,951,620.75
  合同负债1,595,023.47547,171.61877,091.01423,074.12
  应付职工薪酬21,735,201.7730,544,680.5827,045,047.3522,345,266.08
  应交税费2,860,079.477,495,321.55133,550.421,021,697.05
  其他应付款合计3,367,622.234,927,732.323,912,368.934,534,827.4
  一年内到期的非流动负债2,647,389.422,687,611.22,647,851.343,664,126.95
  其他流动负债585,353.05748,052.31137,795.411,757,850.82
  流动负债合计830,594,258.96844,575,436.18712,889,341626,704,086.35
非流动负债:
  长期借款296,000,000296,000,000297,000,000297,000,000
  租赁负债383,757.84647,389.421,082,550.3900,836.52
  递延收益97,008,618.3195,925,063.196,790,225.3364,064,130.74
  递延所得税负债203,452.6253,306.32275,576.67286,976.64
  非流动负债合计393,595,828.75392,825,758.84395,148,352.3362,251,943.9
  负债合计1,224,190,087.711,237,401,195.021,108,037,693.3988,956,030.25
所有者权益(或股东权益):
  实收资本(或股本)462,500,000462,500,000462,500,000462,500,000
  资本公积1,546,266,257.351,546,266,257.351,546,266,257.351,546,266,257.35
  专项储备14,562,284.7113,788,092.1113,805,825.2713,699,641.28
  盈余公积47,997,997.9547,997,997.9542,070,724.1942,070,724.19
  未分配利润402,802,299.59393,131,981.63387,204,634.68380,320,679.86
  归属于母公司股东权益合计2,474,128,839.62,463,684,329.042,451,847,441.492,444,857,302.68
  股东权益合计2,474,128,839.62,463,684,329.042,451,847,441.492,444,857,302.68
  负债和股东权益合计3,698,318,927.313,701,085,524.063,559,885,134.793,433,813,332.93
公告日期2026-04-302026-04-182025-10-312025-08-30
审计意见(境内)标准无保留意见
TOP↑