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华控赛格

(000068)

  

流通市值:38.45亿  总市值:38.45亿
流通股本:10.07亿   总股本:10.07亿

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181,949,396.63199,848,192.67142,533,709.253,598,637.28
  应收票据及应收账款430,399,869.6422,890,868.41406,343,766.12421,747,576.24
  其中:应收票据1,780,124.998,121,409.854,827,780.362,412,086.55
        应收账款428,619,744.61414,769,458.56401,515,985.76419,335,489.69
  应收款项融资-06,869,200.06-
  预付款项12,817,744.9712,255,195.936,964,942.526,914,046.5
  其他应收款合计333,193,710.15420,307,752.79461,427,627.29325,626,735.89
  其中:应收利息-0--
        应收股利-0--
  存货45,885,667.8537,475,783.3828,782,157.486,559,040.87
  合同资产426,382,538.36481,124,486.59529,981,201.04219,801,287.79
  一年内到期的非流动资产28,395,888.5427,071,393.0125,746,897.4828,960,266.18
  其他流动资产112,366,826.64107,865,636.12137,388,808.2111,674,487.99
  流动资产合计1,571,391,642.741,708,839,308.91,746,038,309.291,274,882,078.74
非流动资产:
  长期应收款22,463,658.3722,397,441.3222,383,481.8348,551,635.89
  长期股权投资2,991,559.222,916,909.283,015,639.652,915,285.39
  其他权益工具投资116,203,081.21116,203,081.21116,203,081.21-
  固定资产58,708,268.2160,241,351.2861,844,422.2562,316,058.31
  在建工程8,379,976.778,379,976.778,379,976.778,379,976.77
  使用权资产8,940,129.2210,275,051.7110,029,113.7116,116,914.65
  无形资产110,709,492.6285,540,783.4686,212,777.786,886,274.16
  开发支出11,303,292.4836,410,684.5834,598,918.46-
  长期待摊费用1,683,627.261,996,169.272,891,312.843,295,063.16
  递延所得税资产58,875,189.4759,618,897.3759,665,190.5356,325,086.63
  其他非流动资产2,205,042,613.92,219,250,962.422,179,019,173.952,262,956,018.79
  非流动资产合计2,605,300,888.732,623,231,308.672,584,243,088.92,547,742,313.75
  资产总计4,176,692,531.474,332,070,617.574,330,281,398.193,822,624,392.49
流动负债:
  短期借款22,310,104.7739,802,448.5639,802,448.5634,799,837.45
  应付票据及应付账款1,091,998,649.691,118,142,991.641,181,137,519.17802,316,365.04
  其中:应付票据5,000,00017,724,932.8412,724,932.84-
        应付账款1,086,998,649.691,100,418,058.81,168,412,586.33802,316,365.04
  合同负债55,926,992.9437,285,260.7821,808,241.1230,967,215.23
  应付职工薪酬38,615,176.7747,699,450.3249,476,421.8644,110,647.41
  应交税费24,971,173.6319,985,713.2424,155,367.0116,559,740.03
  其他应付款合计466,851,159.03513,307,006.31416,969,826.84641,353,493.24
  一年内到期的非流动负债136,065,923.55158,130,340.88158,695,658.44163,091,390.52
  其他流动负债17,938,315.728,180,737.289,231,460.939,201,202.07
  流动负债合计1,854,677,496.11,942,533,949.011,901,276,943.931,742,399,890.99
非流动负债:
  长期借款595,549,940.5639,564,586639,564,586711,440,731.5
  租赁负债4,822,859.335,921,766.576,091,773.528,614,082.9
  长期应付款563,898,720.79565,898,720.79565,898,720.79279,829,575.19
  预计负债50,000,000-0567,870.03
  递延收益3,276,188.593,357,309.313,438,430.033,526,817.65
  递延所得税负债97,122,485.4897,239,433.597,400,922.5297,524,831.62
  非流动负债合计1,314,670,194.691,311,981,816.171,312,394,432.861,101,503,908.89
  负债合计3,169,347,690.793,254,515,765.183,213,671,376.792,843,903,799.88
所有者权益(或股东权益):
  实收资本(或股本)1,006,671,4641,006,671,4641,006,671,4641,006,671,464
  资本公积1,188,883,009.421,188,883,009.421,201,168,262.761,193,168,262.76
  盈余公积157,709,529.79157,709,529.79157,709,529.79157,709,529.79
  未分配利润-1,733,799,200.72-1,662,391,760.89-1,635,633,240.45-1,733,239,647.01
  归属于母公司股东权益合计619,464,802.49690,872,242.32729,916,016.1624,309,609.54
  少数股东权益387,880,038.19386,682,610.07386,694,005.3354,410,983.07
  股东权益合计1,007,344,840.681,077,554,852.391,116,610,021.4978,720,592.61
  负债和股东权益合计4,176,692,531.474,332,070,617.574,330,281,398.193,822,624,392.49
公告日期2025-08-292025-04-252025-03-152024-10-29
审计意见(境内)标准无保留意见
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