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顺发恒能

(000631)

  

流通市值:89.34亿  总市值:89.34亿
流通股本:23.95亿   总股本:23.95亿

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5,128,988,589.335,041,188,396.365,127,908,467.355,132,545,670.64
  应收票据及应收账款90,041,733.0296,261,125.0570,011,087.384,297,585.42
  其中:应收票据-2,542,894.12--
        应收账款90,041,733.0293,718,230.9370,011,087.384,297,585.42
  预付款项4,344,101.965,221,235.481,711,836.037,659,423.87
  其他应收款合计10,364,824.0115,173,232.7814,784,103.5415,652,792.34
  存货326,648,045.68335,746,104.46451,670,091.08498,130,204.5
  其他流动资产55,786,852.9458,063,708.6358,751,798.5753,617,792.13
  流动资产合计5,616,174,146.945,551,653,802.765,724,837,383.875,791,903,468.9
非流动资产:
  长期股权投资10,815,477.6810,067,174.7310,064,624.3810,065,769.67
  其他权益工具投资37,452,214.937,452,214.937,452,214.937,463,742.6
  投资性房地产822,149,309.78829,897,273.98676,755,434.53684,480,277.13
  固定资产986,282,614.45881,482,147.79287,454,618.89880,894,011.85
  在建工程10,001,363.395,212,644.7278,270,641.9961,508,927.41
  使用权资产14,630,705.5514,855,434.514,871,595.7215,111,620.61
  无形资产29,837,117.1330,028,629.213,336,297.1930,157,200.51
  长期待摊费用50,122,358.6841,874,533.21-44,319,410.87
  递延所得税资产105,184,029.19121,283,793.44119,471,091.68122,483,517.53
  非流动资产合计2,066,475,190.662,062,153,846.471,237,676,519.281,886,484,478.18
  资产总计7,682,649,337.67,613,807,649.236,962,513,903.157,678,387,947.08
流动负债:
  短期借款109,555,423.6103,562,659.72-81,583,165.97
  应付票据及应付账款177,522,798.53175,279,518.15160,121,484.51163,651,513.78
        应付账款177,522,798.53175,279,518.15160,121,484.51163,651,513.78
  预收款项7,260,193.2711,230,774.7414,254,671.513,781,208.93
  合同负债6,607,593.298,314,099.6110,526,331.111,076,853.57
  应付职工薪酬33,981,129.829,554,535.5422,367,798.8527,861,307.59
  应交税费23,112,528.9140,328,47542,651,51351,248,664.82
  其他应付款合计911,265,713.31839,134,589781,734,702.9838,052,963.62
        应付股利103,277,526.5354,277,526.53-54,277,526.53
  一年内到期的非流动负债41,290,245.2870,889,151.434,546,739.1282,818,385.31
  其他流动负债100,555.55194,524.03328,099350,715.41
  流动负债合计1,310,696,181.541,278,488,327.221,036,531,339.981,270,424,779
非流动负债:
  长期借款335,150,000310,980,00070,586,093.75283,300,000
  租赁负债13,539,602.9514,354,800.5514,600,495.2214,081,547.23
  递延所得税负债4,170,8654,297,949.481,032,330.324,539,369.49
  非流动负债合计352,860,467.95329,632,750.0386,218,919.29301,920,916.72
  负债合计1,663,556,649.491,608,121,077.251,122,750,259.271,572,345,695.72
所有者权益(或股东权益):
  实收资本(或股本)2,395,279,0842,395,279,0842,395,279,0842,395,279,084
  资本公积1,034,906,936.271,137,274,878.791,199,787,353.11,273,266,460.94
  减:库存股461,374,581.58611,210,320.7611,210,320.7611,210,320.7
  专项储备2,597,816.272,389,077.971,450,128.191,467,336.25
  盈余公积659,587,125.24659,587,125.24659,587,125.24659,587,125.24
  未分配利润2,238,082,674.542,228,239,934.492,124,117,750.982,177,863,283.4
  归属于母公司股东权益合计5,869,079,054.745,811,559,779.795,769,011,120.815,896,252,969.13
  少数股东权益150,013,633.37194,126,792.1970,752,523.07209,789,282.23
  股东权益合计6,019,092,688.116,005,686,571.985,839,763,643.886,106,042,251.36
  负债和股东权益合计7,682,649,337.67,613,807,649.236,962,513,903.157,678,387,947.08
公告日期2025-10-302025-08-282025-04-262025-04-19
审计意见(境内)标准无保留意见
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