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神火股份

(000933)

  

流通市值:498.95亿  总市值:501.46亿
流通股本:22.38亿   总股本:22.50亿

资产负债表

报告期2024-03-312023-12-312023-09-302023-06-30
公司类型通用通用通用通用
流动资产:
货币资金14,423,516,769.2413,322,549,327.8517,987,998,572.0720,595,465,541.52
应收票据及应收账款536,670,620.76751,202,094.02763,974,523.35728,462,866.16
其中:应收票据2,185,043.3811,870,427.0317,587,649.7269,046,903.91
应收账款534,485,577.38739,331,666.99746,386,873.63659,415,962.25
应收款项融资375,462,228.19462,090,622.44463,131,468.92433,102,289.59
预付款项540,713,151.42402,205,803.65779,455,407.28539,081,426.68
其他应收款合计359,954,901.98359,527,694.01581,852,154.28583,723,541.17
应收股利206,293,097.37237,505,674.16268,360,320.67268,360,320.67
存货3,133,656,976.993,052,775,325.072,616,519,056.252,212,556,558.2
一年内到期的非流动资产624,235,159.8651,255,277.74-27,900,000
其他流动资产571,205,761.8439,957,498.45861,801,536.28694,895,169.07
流动资产平衡项目0000
流动资产合计20,573,029,786.1519,451,635,027.3424,075,387,527.2425,835,842,201.2
非流动资产:
长期股权投资3,655,781,943.493,688,678,968.923,801,425,069.693,736,975,530.62
其他权益工具投资481,469,000481,469,000413,243,750413,243,750
投资性房地产117,098,879.54117,993,257.09118,887,634.64119,782,012.19
固定资产21,867,978,810.6522,156,147,426.7121,344,334,084.1120,807,948,695.43
在建工程1,863,505,470.331,680,472,533.81,307,284,755.61,157,620,471.14
使用权资产7,978,959.538,110,480.8518,100,881.73643,327,279.76
无形资产5,470,454,517.25,435,124,300.685,159,722,589.515,183,594,679.64
开发支出4,353,943.53,668,102.799,934,140.369,934,140.36
商誉13,263,510.9513,263,510.95--
长期待摊费用471,990,041.87505,617,247.12520,657,235.16552,548,968.31
递延所得税资产760,847,721.67769,632,514.01807,801,959.49815,999,542.35
其他非流动资产4,143,160,513.763,545,801,400.93,058,892,684.123,209,645,340.8
非流动资产平衡项目0000
非流动资产合计38,857,883,312.4938,405,978,743.8236,560,284,784.4136,650,620,410.6
资产平衡项目0000
资产总计59,430,913,098.6457,857,613,771.1660,635,672,311.6562,486,462,611.8
流动负债:
短期借款14,342,050,035.3714,691,247,547.2521,062,267,261.1123,247,381,150
交易性金融负债-17,776,825--
应付票据及应付账款5,796,949,303.085,747,060,747.054,142,666,384.435,428,837,668.53
其中:应付票据2,581,998,420.522,725,826,342.31,187,756,875.72,386,648,670.7
应付账款3,214,950,882.563,021,234,404.752,954,909,508.733,042,188,997.83
预收款项20,000295,0001,341,208.93-
合同负债311,139,241.16431,740,053.48347,817,807.22435,487,001.98
应付职工薪酬947,866,656.09911,090,525.49890,960,449.58906,278,259.9
应交税费480,432,459.43595,793,573.6820,682,493.56610,982,342.05
其他应付款合计3,105,454,596.53,045,551,724.143,865,156,371.222,876,523,908.45
应付股利105,016,501.6482,508,250.8282,508,250.8282,508,250.82
一年内到期的非流动负债1,501,937,174.481,521,360,876.291,557,016,940.791,859,728,429.03
其他流动负债70,614,072.1467,401,003.545,215,365.7756,415,740.08
流动负债平衡项目0000
流动负债合计26,556,463,538.2527,029,317,875.832,733,124,282.6135,421,634,500.02
非流动负债:
长期借款6,229,650,0004,944,460,0004,169,228,727.443,601,598,727.44
租赁负债8,437,486.938,335,933.8119,795,402.9919,553,860.49
预计负债1,015,687,234.911,079,025,954.23924,218,241.75930,891,893.88
递延收益276,519,019.65257,041,372.16189,946,100.59194,094,349.86
递延所得税负债201,496,623.65207,609,456.83235,411,483.82233,394,425.84
非流动负债平衡项目0000
非流动负债合计7,731,790,365.146,496,472,717.035,538,599,956.594,979,533,257.51
负债平衡项目0000
负债合计34,288,253,903.3933,525,790,592.8338,271,724,239.240,401,167,757.53
所有者权益(或股东权益):
实收资本(或股本)2,249,708,4092,249,708,4092,250,986,6092,250,986,609
资本公积2,674,982,444.372,657,200,059.92,478,982,620.12,682,615,819.28
减:库存股37,551,502.837,551,502.837,551,502.862,585,838
其他综合收益128,244,902.68116,285,345.3466,369,329.3466,982,913.77
专项储备274,573,006.11254,775,326.17305,854,266.25288,712,642.57
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14,281,806,301.6213,191,266,780.0811,388,296,784.6410,024,937,512.98
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20,969,125,482.2819,829,046,338.9917,850,300,027.8316,649,011,580.9
少数股东权益4,173,533,712.974,502,776,839.344,513,648,044.625,436,283,273.37
股东权益平衡项目0000
股东权益合计25,142,659,195.2524,331,823,178.3322,363,948,072.4522,085,294,854.27
负债和股东权益合计59,430,913,098.6457,857,613,771.1660,635,672,311.6562,486,462,611.8
公告日期2024-04-232024-03-262023-10-242023-08-22
审计意见(境内)标准无保留意见
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