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利尔化学

(002258)

  

流通市值:100.53亿  总市值:100.70亿
流通股本:7.99亿   总股本:8.00亿

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1,144,330,123.891,405,882,866.141,148,277,436.51,450,353,686.92
  交易性金融资产160,967,208.3590,381,920.2360,060,167.7-
  应收票据及应收账款2,342,517,190.222,351,869,495.812,146,490,184.311,871,845,066.75
        应收账款2,342,517,190.222,351,869,495.812,146,490,184.311,871,845,066.75
  应收款项融资203,669,213.46282,483,670.75256,290,969.59181,025,182.51
  预付款项119,534,443.73145,241,803.01141,040,285.2872,440,599.5
  其他应收款合计67,796,725.4671,770,014.1530,196,987.0639,031,393.77
  存货1,594,452,934.321,764,983,398.821,949,951,455.011,688,722,588.35
  其他流动资产287,648,597.04275,043,537.65457,857,176.69369,811,169.79
  流动资产合计5,920,916,436.476,387,656,706.566,190,164,662.145,673,229,687.59
非流动资产:
  其他权益工具投资56,81256,81256,81256,812
  固定资产7,571,500,520.87,283,828,799.047,475,455,057.87,607,822,565.22
  在建工程1,240,955,963.411,276,197,933.671,112,313,624.34996,733,077.22
  使用权资产17,681,347.5518,657,563.0319,785,890.5918,868,206.02
  无形资产988,897,944.45992,504,972.171,020,133,410.231,026,880,984.12
  开发支出147,691,516.32137,413,103.09137,295,274.28121,534,101.99
  商誉22,515,758.6122,515,758.6122,515,758.6122,515,758.61
  长期待摊费用7,035,014.344,154,530.184,936,624.764,505,093.64
  递延所得税资产62,377,344.6964,284,455.2359,741,962.8465,834,029.45
  其他非流动资产174,665,059.68149,836,165.83132,678,122.18110,497,281.39
  非流动资产合计10,233,377,281.859,949,450,092.859,984,912,537.639,975,247,909.66
  资产总计16,154,293,718.3216,337,106,799.4116,175,077,199.7715,648,477,597.25
流动负债:
  短期借款261,944,375.64269,867,248.47327,926,051.53220,045,180.14
  交易性金融负债-0-1,388,611.82
  应付票据及应付账款2,554,141,232.592,656,516,400.472,434,671,619.882,235,272,683.9
  其中:应付票据1,505,791,635.351,702,920,6341,479,447,259.981,303,199,657.32
        应付账款1,048,349,597.24953,595,766.47955,224,359.9932,073,026.58
  预收款项7,220,527.565,115,749.984,159,182.165,197,200.42
  合同负债97,766,909.5898,423,550.16141,580,376.28179,833,544.3
  应付职工薪酬200,452,722.59175,394,412.88149,578,211.55210,910,088.34
  应交税费40,437,279.5439,831,527.4841,782,269.8332,113,580.57
  其他应付款合计127,918,312.67102,918,002.21170,662,000.02173,177,506.43
        应付股利-0-5,135,001
  一年内到期的非流动负债1,268,074,039.961,000,329,195.67609,128,543.99976,426,393
  其他流动负债7,578,554.498,814,727.6610,519,280.8616,099,789.44
  流动负债合计4,565,533,954.624,357,210,814.983,890,007,536.14,050,464,578.36
非流动负债:
  长期借款2,073,201,585.32,407,799,190.762,659,173,315.062,155,511,511.26
  租赁负债15,116,458.9914,912,911.2816,409,903.2416,144,636.65
  长期应付款68,747,443.4289,548,823.6699,491,514.6598,660,269.48
  预计负债30,125,701.5929,785,326.2729,448,796.6829,116,069.36
  递延收益268,632,441.44267,171,144.73274,963,148.02282,051,651.31
  递延所得税负债607,878.161,181,736.145,507,989.895,911,689.44
  非流动负债合计2,456,431,508.92,810,399,132.843,084,994,667.542,587,395,827.5
  负债合计7,021,965,463.527,167,609,947.826,975,002,203.646,637,860,405.86
所有者权益(或股东权益):
  实收资本(或股本)800,437,228800,437,228800,437,228800,437,228
  资本公积1,508,698,159.971,508,698,159.971,508,698,159.971,508,433,811.22
  专项储备60,851,533.8560,153,203.2256,761,001.0150,320,529.15
  盈余公积385,857,506.05385,857,506.05385,857,506.05385,857,506.05
  未分配利润5,042,648,186.45,092,001,143.35,134,582,475.084,981,538,775.84
  归属于母公司股东权益合计7,798,492,614.277,847,147,240.547,886,336,370.117,726,587,850.26
  少数股东权益1,333,835,640.531,322,349,611.051,313,738,626.021,284,029,341.13
  股东权益合计9,132,328,254.89,169,496,851.599,200,074,996.139,010,617,191.39
  负债和股东权益合计16,154,293,718.3216,337,106,799.4116,175,077,199.7715,648,477,597.25
公告日期2025-10-252025-08-282025-04-252025-03-28
审计意见(境内)标准无保留意见
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