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神火股份

(000933)

  

流通市值:379.10亿  总市值:380.14亿
流通股本:22.43亿   总股本:22.49亿

资产负债表

报告期2025-03-312024-12-312024-09-302024-06-30
公司类型通用通用通用通用
流动资产:
货币资金4,308,630,460.33,282,589,519.749,875,885,684.2813,302,072,938.12
应收票据及应收账款1,007,229,811.61919,726,558.98983,897,465.731,057,572,762.41
其中:应收票据36,384,191.7177,600,279.4825,081,427.9111,682,882.54
应收账款970,845,619.9842,126,279.5958,816,037.821,045,889,879.87
应收款项融资294,934,193.74285,388,426.92541,961,562.39568,895,376.98
预付款项779,991,218.13696,003,269.851,026,269,681.45621,477,529.12
其他应收款合计220,848,254.95347,573,332.98654,720,413.8632,159,027.81
应收股利153,293,097.37156,293,097.37176,293,097.37186,293,097.37
存货3,766,751,167.453,563,777,561.142,903,705,355.763,077,049,373.64
一年内到期的非流动资产886,989,452.05307,800,000686,839,671.23711,959,115.67
其他流动资产1,724,780,460.751,693,182,254.93764,072,215.92809,539,353.49
流动资产平衡项目0000
流动资产合计12,990,155,018.9811,096,040,924.5417,445,663,550.5620,808,162,554.32
非流动资产:
长期股权投资4,943,070,395.134,536,726,291.464,268,509,637.894,212,158,702.78
其他权益工具投资507,339,672.03507,339,672.03471,469,000471,469,000
投资性房地产57,276,087.2857,799,010.1115,310,124.44116,204,501.99
固定资产21,887,962,569.4622,114,040,082.2221,202,986,290.8921,120,786,989.42
在建工程2,026,429,052.841,699,544,225.942,035,807,953.662,165,040,760.66
使用权资产13,413,069.5514,329,262.837,715,916.897,847,438.21
无形资产5,445,588,885.485,472,661,884.025,355,163,701.825,379,817,956.56
开发支出358,490.57-4,515,005.454,515,005.45
商誉13,263,510.9513,263,510.9513,263,510.9513,263,510.95
长期待摊费用330,639,380.56328,902,093.5344,433,408.48385,003,101.58
递延所得税资产778,081,246.7771,761,761.77761,706,141.67769,758,443.85
其他非流动资产3,191,460,610.553,990,274,116.354,122,234,359.933,093,459,253.62
非流动资产平衡项目0000
非流动资产合计39,194,882,971.139,506,641,911.1738,703,115,052.0737,739,324,665.07
资产平衡项目0000
资产总计52,185,037,990.0850,602,682,835.7156,148,778,602.6358,547,487,219.39
流动负债:
短期借款7,553,474,390.467,192,979,244.3314,189,110,47514,201,886,184.27
应付票据及应付账款5,593,886,093.314,704,053,825.554,926,414,327.585,130,029,338.75
其中:应付票据2,239,989,376.451,189,482,584.322,145,140,393.232,032,859,132.88
应付账款3,353,896,716.863,514,571,241.232,781,273,934.353,097,170,205.87
预收款项--20,00020,000
合同负债457,409,213.66346,103,393.82574,783,851.04306,903,007.01
应付职工薪酬897,044,969882,386,703.51834,828,365.43950,991,799.84
应交税费468,287,543.85419,129,368.33438,191,426.82424,618,073.45
其他应付款合计3,447,836,509.923,055,606,320.843,055,236,326.733,084,644,522.22
应付股利376,006,600.6482,508,250.82105,016,501.64105,016,501.64
一年内到期的非流动负债1,789,573,529.641,601,946,463.881,019,211,608.971,410,039,780.6
其他流动负债72,339,035.9697,076,251.7676,319,395.8342,684,477.83
流动负债平衡项目0000
流动负债合计20,279,851,285.818,299,281,572.0225,114,115,777.425,551,817,183.97
非流动负债:
长期借款3,894,303,222.224,642,280,0003,367,204,993.336,731,130,000
租赁负债11,615,918.2611,466,674.838,640,593.178,539,040.05
预计负债1,204,808,478.591,205,217,710.331,071,744,995.61,070,357,733.96
递延收益234,171,826.17238,293,194.27229,063,250.2231,837,573.03
递延所得税负债178,867,811.89181,140,207.32180,182,635.92187,333,562.03
非流动负债平衡项目0000
非流动负债合计5,523,767,257.136,278,397,786.754,856,836,468.228,229,197,909.07
负债平衡项目0000
负债合计25,803,618,542.9324,577,679,358.7729,970,952,245.6233,781,015,093.04
所有者权益(或股东权益):
实收资本(或股本)2,249,350,5692,249,350,5692,249,350,5692,249,708,409
资本公积2,717,335,296.932,662,390,545.992,684,833,497.722,682,755,139.69
减:库存股12,337,489.812,337,489.813,926,007.827,852,015.6
其他综合收益128,452,879.55140,190,039.15127,836,111.56136,897,023.08
专项储备248,807,004.69220,219,682.43258,410,835.26278,139,161.87
盈余公积1,397,361,921.31,397,361,921.31,397,361,921.31,397,361,921.3
未分配利润15,732,785,876.5315,024,524,317.9914,930,690,158.4913,676,398,576.84
归属于母公司股东权益平衡项目0000
归属于母公司股东权益合计22,461,756,058.221,681,699,586.0621,634,557,085.5320,393,408,216.18
少数股东权益3,919,663,388.954,343,303,890.884,543,269,271.484,373,063,910.17
股东权益平衡项目0000
股东权益合计26,381,419,447.1526,025,003,476.9426,177,826,357.0124,766,472,126.35
负债和股东权益合计52,185,037,990.0850,602,682,835.7156,148,778,602.6358,547,487,219.39
公告日期2025-04-222025-03-252024-10-222024-08-20
审计意见(境内)标准无保留意见
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