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华明装备

(002270)

  

流通市值:166.52亿  总市值:166.52亿
流通股本:8.96亿   总股本:8.96亿

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1,269,141,556.981,151,504,236.191,161,330,710.21939,034,472.34
  应收票据及应收账款997,161,878.351,001,449,727.73729,878,455.361,120,979,654.32
  其中:应收票据114,371,171.34205,071,144.57223,185,863.52173,486,653.7
        应收账款882,790,707.01796,378,583.16506,692,591.84947,493,000.62
  应收款项融资132,900,374.95202,965,884.32394,706,881.34134,443,616.58
  预付款项37,688,837.8626,831,400.735,793,284.7596,172,854.72
  其他应收款合计90,330,865.89128,235,057.3462,539,955.8463,942,545.27
  存货446,340,626.31428,656,844.08383,566,721.56378,150,933.48
  合同资产58,356,427.0357,694,840.3758,360,861.3786,877,727.17
  其他流动资产74,058,556.9364,760,028.7460,552,021.5563,309,493.82
  流动资产合计3,105,979,124.33,062,098,019.473,014,908,950.342,882,911,297.7
非流动资产:
  长期股权投资18,925,849.0727,092,385.4627,192,284.63154,157,226.63
  其他权益工具投资62,396,412.2958,269,630.2358,269,630.2357,473,380.24
  投资性房地产3,670,178.33,725,057.33,779,936.33,834,815.66
  固定资产861,391,123.11856,247,502.66861,135,151.41828,983,388.7
  在建工程92,416,143.2760,631,696.3657,920,800.8639,636,239.11
  使用权资产23,890,379.0130,167,755.6636,177,570.0241,197,451.12
  无形资产149,527,190.36151,678,161.06153,913,066.16155,959,252.9
  商誉99,418,923.6199,418,923.6199,418,923.6199,418,923.61
  长期待摊费用25,888,623.228,576,350.1529,569,545.0836,071,372.71
  递延所得税资产95,538,092.7295,489,544.794,555,241.3288,189,193.91
  其他非流动资产15,726,914.4828,861,545.3220,853,131.0819,929,705.05
  非流动资产合计1,448,789,829.421,440,158,552.511,442,785,280.71,524,850,949.64
  资产总计4,554,768,953.724,502,256,571.984,457,694,231.044,407,762,247.34
流动负债:
  短期借款60,014,708.3460,008,166.67120,008,166.67120,007,486.12
  应付票据及应付账款465,100,256.87430,056,276.3422,387,993.26435,264,453.28
  其中:应付票据209,877,498.01164,297,990.6154,012,282.24173,867,715.34
        应付账款255,222,758.86265,758,285.7268,375,711.02261,396,737.94
  合同负债66,477,088.863,969,825.4954,413,522.6460,054,913.24
  应付职工薪酬38,734,083.3932,422,225.864,240,170.1536,544,642.32
  应交税费42,685,385.0169,274,614.2973,277,600.5583,607,545.98
  其他应付款合计238,084,430.5234,041,064.291,817,108.7817,941,910.47
        应付股利194,530,560.84-50,188,624.14-
  一年内到期的非流动负债151,845,997.81150,130,158.78160,977,164.23268,671,254.66
  其他流动负债5,703,265.896,039,497.765,136,249.4113,624,280.91
  流动负债合计1,068,645,216.63845,941,829.29992,257,975.691,035,716,486.98
非流动负债:
  长期借款205,231,713.92220,274,780.59220,274,780.5890,244,597.24
  租赁负债8,411,747.4310,642,251.2711,209,834.2814,079,205.79
  长期应付款---98,992,229.79
  预计负债1,364,3001,151,294.491,088,300-
  递延收益25,182,952.4725,363,016.7625,543,081.0532,873,145.34
  递延所得税负债53,864,913.3126,709,290.8625,976,890.626,456,295.51
  非流动负债合计294,055,627.13284,140,633.97284,092,886.51262,645,473.67
  负债合计1,362,700,843.761,130,082,463.261,276,350,862.21,298,361,960.65
所有者权益(或股东权益):
  实收资本(或股本)227,247,078227,247,078227,247,078227,247,078
  资本公积1,264,631,161.981,264,631,161.981,264,631,161.981,264,631,161.98
  减:库存股189,682,061.17---
  其他综合收益-15,738,655.74-18,280,261.5-27,783,034.94-32,506,190.25
  专项储备2,346,530.39435,692.18248,271.751,597,518.29
  盈余公积18,997,410.4718,997,410.4718,997,410.4718,997,410.47
  未分配利润1,856,325,196.921,853,710,057.121,682,369,085.431,612,063,610.92
  归属于母公司股东权益合计3,164,126,660.853,346,741,138.253,165,709,972.693,092,030,589.41
  少数股东权益27,941,449.1125,432,970.4715,633,396.1517,369,697.28
  股东权益合计3,192,068,109.963,372,174,108.723,181,343,368.843,109,400,286.69
  负债和股东权益合计4,554,768,953.724,502,256,571.984,457,694,231.044,407,762,247.34
公告日期2025-08-082025-04-192025-04-112024-10-23
审计意见(境内)标准无保留意见
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