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川发龙蟒

(002312)

  

流通市值:205.71亿  总市值:206.32亿
流通股本:18.84亿   总股本:18.89亿

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3,738,381,584.214,204,090,690.983,603,163,135.222,951,002,463.02
  交易性金融资产485,196,123.2559,462,192.66355,124,796.7241,235,167.17
  应收票据及应收账款558,875,828515,111,970.98216,850,013.48217,498,231.77
        应收账款558,875,828515,111,970.98216,850,013.48217,498,231.77
  应收款项融资260,376,908177,085,324.87187,069,740.9595,506,138
  预付款项353,408,726.93541,839,715.47458,595,643.15295,906,498.88
  其他应收款合计22,561,248.3638,723,117.2297,671,162.6122,745,136.35
  存货1,755,031,974.681,869,847,777.61,143,278,551.371,175,333,211.61
  其他流动资产315,721,872.52274,436,522.82313,035,529.83216,275,809.35
  流动资产合计7,489,554,265.98,180,597,312.586,574,788,573.315,215,502,656.15
非流动资产:
  长期应收款568,000568,000568,000568,000
  长期股权投资2,001,418,329.061,966,309,004.811,936,449,448.241,905,844,145.34
  其他非流动金融资产1,626,927,476.151,636,825,686.391,375,906,409.681,378,553,388.69
  投资性房地产241,604,675.53243,909,812.8246,214,950.07248,520,087.34
  固定资产6,004,653,293.875,811,959,997.544,857,040,685.384,632,934,948.15
  在建工程1,101,240,417.871,383,221,132.281,796,794,181.531,737,095,209.92
  使用权资产8,883,040.248,926,497.389,595,566.529,951,829.66
  无形资产1,374,096,196.481,386,452,265.881,464,707,709.331,276,495,204.9
  开发支出-0885,058.67-
  商誉1,274,314,930.71,274,314,930.71,235,254,087.611,235,254,087.61
  长期待摊费用61,278,373.9166,057,006.4217,081,22515,498,866.61
  递延所得税资产142,087,989.87144,125,731.8194,960,842.7895,600,635.91
  其他非流动资产557,805,343.7600,944,744.61492,092,891.04616,801,851.18
  非流动资产合计14,394,878,067.3814,523,614,810.6213,527,551,055.8513,153,118,255.31
  资产总计21,884,432,333.2822,704,212,123.220,102,339,629.1618,368,620,911.46
流动负债:
  短期借款1,317,726,8621,430,125,2801,313,853,474.211,117,893,510.09
  应付票据及应付账款3,410,938,493.294,063,899,165.892,493,602,331.572,144,566,411.39
  其中:应付票据2,359,610,263.182,845,153,494.841,253,392,955.311,112,743,322.81
        应付账款1,051,328,230.111,218,745,671.051,240,209,376.261,031,823,088.58
  预收款项22,043,900.889,717,664.71101,449,744.7710,887,477.47
  合同负债275,541,701.35451,391,781.27389,984,124.58295,773,825.16
  应付职工薪酬235,695,968.64193,212,613.8158,576,705.08259,497,889.46
  应交税费73,519,486.7255,207,980.3141,630,497.9542,790,647.69
  其他应付款合计157,471,122.22352,085,433.5883,934,808.32128,497,574.87
  一年内到期的非流动负债1,004,087,577.241,012,293,525.431,082,969,577.241,427,391,540.98
  其他流动负债9,238,163.0342,181,383.4429,584,433.6325,864,820.2
  流动负债合计6,506,263,275.377,610,114,828.435,695,585,697.355,453,163,697.31
非流动负债:
  长期借款4,446,055,7004,889,811,2004,346,234,7002,960,688,700
  应付债券500,962,322.23---
  租赁负债1,420,573.411,247,759.76,866,035.351,247,759.7
  长期应付款--175,000175,000
  预计负债37,964,982.8637,791,700.9337,716,497.5937,435,668.49
  递延收益35,313,138.3624,832,212.0711,581,185.3913,853,640.77
  递延所得税负债252,575,402.98253,066,078.04244,171,486.13245,563,561.65
  非流动负债合计5,274,292,119.845,206,748,950.744,646,744,904.463,258,964,330.61
  负债合计11,780,555,395.2112,816,863,779.1710,342,330,601.818,712,128,027.92
所有者权益(或股东权益):
  实收资本(或股本)1,889,338,6191,889,338,6191,889,338,6191,889,338,619
  资本公积5,542,479,646.895,542,479,646.895,542,364,710.185,542,364,710.18
  减:库存股27,762,183.2527,762,183.2527,762,183.2527,762,183.25
  专项储备39,599,128.7634,094,447.0932,249,869.7731,333,727.53
  盈余公积169,067,030.17169,067,030.17165,793,542.89165,793,542.89
  未分配利润2,015,426,707.091,816,496,521.91,951,542,943.791,848,282,572.15
  归属于母公司股东权益合计9,628,148,948.669,423,714,081.89,553,527,502.389,449,350,988.5
  少数股东权益475,727,989.41463,634,262.23206,481,524.97207,141,895.04
  股东权益合计10,103,876,938.079,887,348,344.039,760,009,027.359,656,492,883.54
  负债和股东权益合计21,884,432,333.2822,704,212,123.220,102,339,629.1618,368,620,911.46
公告日期2025-10-242025-08-192025-04-282025-04-23
审计意见(境内)标准无保留意见
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