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盛新锂能

(002240)

  

流通市值:256.42亿  总市值:270.93亿
流通股本:8.66亿   总股本:9.15亿

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2,560,207,443.193,085,065,154.943,071,527,286.381,795,958,165.73
  交易性金融资产57,627,033.6416,611,828.777,926,934.7723,815,875.13
  应收票据及应收账款792,178,684.61390,590,115.92303,381,973.5289,688,746.94
        应收账款792,178,684.61390,590,115.92303,381,973.5289,688,746.94
  应收款项融资34,986,087.35231,240,692.51206,391,284.53106,434,211.84
  预付款项504,998,275.87500,382,015.01481,659,018.79701,609,734.3
  其他应收款合计252,879,369.24280,876,464.03162,528,824.51160,713,210.87
        应收股利-3,055,677.18--
  存货1,999,269,625.561,840,182,025.22,172,559,009.012,162,035,154.87
  其他流动资产784,332,540.97830,795,793.95912,092,841.48933,008,326.42
  流动资产合计6,986,479,060.437,175,744,090.337,416,560,151.516,173,263,426.1
非流动资产:
  长期股权投资3,555,977,207.13,635,111,565.813,660,103,111.913,763,825,246.55
  其他权益工具投资165,606,500.37288,264,656.1290,729,776.77292,543,386.53
  其他非流动金融资产894,576,478.97894,826,612.03894,479,904.06878,793,225.4
  投资性房地产126,304,180.01127,171,400.38128,049,587.32128,927,727.1
  固定资产8,166,671,130.585,894,707,712.955,534,657,441.285,603,373,620.78
  在建工程454,348,797.242,773,201,750.133,312,148,628.563,013,380,266.73
  使用权资产12,143,010.5412,898,994.3713,662,173.2410,135,774.32
  无形资产943,408,155.46974,893,847.181,002,788,345.041,002,003,581.86
  商誉2,000,722.672,000,722.672,000,722.672,000,722.67
  长期待摊费用271,825,348.65284,501,547.59293,050,928.85291,805,246.48
  递延所得税资产86,930,238.63144,299,122.7977,922,688.2876,051,768.88
  其他非流动资产206,836,729196,910,366.85274,012,871.3515,417,792.19
  非流动资产合计14,886,628,499.2215,228,788,298.8515,483,606,179.2815,578,258,359.49
  资产总计21,873,107,559.6522,404,532,389.1822,900,166,330.7921,751,521,785.59
流动负债:
  短期借款4,582,644,913.054,518,730,845.294,529,943,124.273,814,173,081.1
  交易性金融负债-6,810,565.745,521,547.2-
  应付票据及应付账款1,083,817,745.521,121,429,592.981,154,167,243.991,457,537,321.6
  其中:应付票据122,043,632.05120,010,310.79105,300,392.39103,927,779.63
        应付账款961,774,113.471,001,419,282.191,048,866,851.61,353,609,541.97
  预收款项1,500,0001,200,000--
  合同负债474,706,286.42504,969,157.84466,187,390.79268,545,942.09
  应付职工薪酬38,766,618.838,921,470.5550,761,101.2882,154,734.42
  应交税费109,312,480.81106,858,891.1445,221,739.228,305,445.41
  其他应付款合计235,948,624.72223,992,897.34280,935,612397,035,509.21
        应付股利34,875,652.6534,875,652.6534,875,652.6534,875,652.65
  一年内到期的非流动负债1,512,902,600.511,730,484,645.691,796,771,997.951,219,290,442.87
  其他流动负债389,401,889.71312,953,702.52257,791,581.78117,278,710.88
  流动负债合计8,429,001,159.548,566,351,769.098,587,301,338.467,384,321,187.58
非流动负债:
  长期借款2,201,191,304.322,266,060,036.891,968,399,551.441,894,767,521.72
  租赁负债8,699,939.79,905,595.6810,383,226.028,353,327.37
  长期应付款241,491,954.4325,591,459.24320,902,827.16-
  预计负债34,062,573.9234,641,208.5433,849,072.5533,878,029.84
  递延收益39,117,286.7138,333,131.7139,740,851.7140,848,571.71
  递延所得税负债58,203,332.9655,895,335.7958,154,602.9158,910,997.64
  非流动负债合计2,582,766,392.012,730,426,767.852,431,430,131.792,036,758,448.28
  负债合计11,011,767,551.5511,296,778,536.9411,018,731,470.259,421,079,635.86
所有者权益(或股东权益):
  实收资本(或股本)915,293,872915,293,872915,293,872915,293,872
  资本公积5,298,982,793.655,297,519,456.425,340,954,834.465,675,363,713.7
  减:库存股695,123,359.16250,134,251.61250,134,251.61250,134,251.61
  其他综合收益3,712,692.77-29,325,857.86-6,292,918.2317,868,626.09
  专项储备50,513,108.1148,092,156.1346,996,934.1146,551,888.24
  盈余公积407,637,859.07407,637,859.07407,637,859.07407,637,859.07
  未分配利润4,519,946,564.864,372,683,195.485,058,994,129.115,213,731,017.34
  归属于母公司股东权益合计10,500,963,531.310,761,766,429.6311,513,450,458.9112,026,312,724.83
  少数股东权益360,376,476.8345,987,422.61367,984,401.63304,129,424.9
  股东权益合计10,861,340,008.111,107,753,852.2411,881,434,860.5412,330,442,149.73
  负债和股东权益合计21,873,107,559.6522,404,532,389.1822,900,166,330.7921,751,521,785.59
公告日期2025-10-252025-08-232025-04-292025-03-22
审计意见(境内)标准无保留意见
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