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万年青

(000789)

  

流通市值:47.05亿  总市值:47.05亿
流通股本:7.97亿   总股本:7.97亿

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4,645,588,438.54,713,214,452.834,658,891,367.974,143,321,032.12
  应收票据及应收账款1,525,833,727.281,666,256,099.611,778,654,198.311,865,449,358.13
  其中:应收票据100,665,851.36120,179,164.83124,937,372.48128,014,643
        应收账款1,425,167,875.921,546,076,934.781,653,716,825.831,737,434,715.13
  应收款项融资110,793,497.09145,622,510.07147,252,282.23103,623,531.5
  预付款项41,034,458.4296,650,620.38185,054,793.9222,658,174.06
  其他应收款合计57,949,172.6470,510,096.8867,149,426.0191,322,324.36
  存货445,037,531406,537,726.43457,484,812504,310,689.95
  其他流动资产74,028,138.5878,451,883.6567,183,374.55133,479,059.52
  流动资产合计6,900,264,963.517,177,243,389.857,361,670,254.977,064,164,169.64
非流动资产:
  长期股权投资23,430,795.2523,366,463.2423,427,614.9222,710,635.58
  其他权益工具投资355,609,138.31400,381,507.46402,870,447.16424,820,581.76
  其他非流动金融资产42,165,873.5468,885,259.6674,700,513.3795,260,112.41
  投资性房地产49,718,451.250,248,561.0750,778,670.9451,308,780.81
  固定资产6,311,401,981.846,431,303,582.746,539,640,242.466,493,771,411.41
  在建工程30,674,078.4328,055,931.1716,740,407.12161,586,140.52
  使用权资产42,947,357.3744,033,752.6245,120,147.8749,127,415.43
  无形资产1,545,120,746.81,562,577,462.311,564,045,822.311,583,886,120.89
  商誉83,319,513.9783,319,513.9783,319,513.9794,471,213.97
  递延所得税资产367,351,827.97357,724,421.76357,745,182.11344,000,307.98
  其他非流动资产6,034,322.167,828,687.712,476,663.511,768,914.4
  非流动资产合计8,857,774,086.849,057,725,143.79,170,865,225.739,332,711,635.16
  资产总计15,758,039,050.3516,234,968,533.5516,532,535,480.716,396,875,804.8
流动负债:
  短期借款691,204,064.88764,375,273.6770,899,511.39780,151,043.8
  应付票据及应付账款1,135,651,442.51,212,233,935.711,467,256,587.641,321,089,814.71
  其中:应付票据253,047,512283,554,905.66325,722,431.67199,906,084.39
        应付账款882,603,930.5928,679,030.051,141,534,155.971,121,183,730.32
  预收款项--149,400-
  合同负债144,813,678.52147,135,849.09138,364,312.72163,843,023.3
  应付职工薪酬18,944,500.1873,298,117.94127,876,343.2715,460,643.73
  应交税费90,021,694.32153,762,684.77149,636,895.16108,728,269.86
  其他应付款合计540,955,072.82604,587,200.9642,426,260.2641,209,654.7
  一年内到期的非流动负债1,110,273,134.22159,511,453.25146,126,672.77169,029,098.06
  其他流动负债191,543,174.88217,117,885.55208,182,910.38191,661,302.33
  流动负债合计3,923,406,762.323,332,022,400.813,650,918,893.533,391,172,850.49
非流动负债:
  长期借款241,530,000255,030,00064,690,00076,030,000
  应付债券600,000,0001,577,599,070.361,572,508,004.61,567,335,160.67
  租赁负债14,964,585.4114,379,658.9315,565,300.5115,211,838.81
  长期应付款571,453,390.7575,193,682.76620,837,421.1674,751,023.18
  长期应付职工薪酬43,118,900.9753,704,572.7958,822,446.8958,139,869.74
  预计负债133,699,817.5132,640,696.32132,185,325.09134,020,087.4
  递延收益75,988,853.8676,927,787.3378,507,500.1478,828,559.34
  递延所得税负债77,708,816.4284,767,655.4980,752,183.2384,094,895.94
  非流动负债合计1,758,464,364.862,770,243,123.982,623,868,181.562,688,411,435.08
  负债合计5,681,871,127.186,102,265,524.796,274,787,075.096,079,584,285.57
所有者权益(或股东权益):
  实收资本(或股本)797,407,415797,407,415797,407,185797,407,151
  其他权益工具150,023,449.99150,023,449.99150,023,750.17150,023,795.2
  资本公积52,072,271.3951,912,502.1951,754,694.5653,321,318.92
  减:库存股199,306,796.35184,746,201.95--
  其他综合收益-291,243,487.11-257,840,531.37-255,348,977.15-243,864,058.43
  专项储备77,741,056.6272,669,753.2666,585,741.3757,303,067.76
  盈余公积586,279,459.02586,279,459.02586,279,459.02586,279,459.02
  未分配利润5,537,925,245.935,532,499,640.335,497,154,480.655,490,964,360.34
  归属于母公司股东权益合计6,710,898,614.496,748,205,486.476,893,856,333.626,891,435,093.81
  少数股东权益3,365,269,308.683,384,497,522.293,363,892,071.993,425,856,425.42
  股东权益合计10,076,167,923.1710,132,703,008.7610,257,748,405.6110,317,291,519.23
  负债和股东权益合计15,758,039,050.3516,234,968,533.5516,532,535,480.716,396,875,804.8
公告日期2025-08-272025-04-292025-04-232024-10-26
审计意见(境内)标准无保留意见
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