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皇氏集团

(002329)

  

流通市值:25.63亿  总市值:32.80亿
流通股本:6.50亿   总股本:8.32亿

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229,060,390.06404,262,167.39380,525,869.45421,244,664.61
  交易性金融资产3,869,363.6110,798,128.2724,291,051.0926,895,230.93
  应收票据及应收账款405,102,992.11399,652,587.73463,566,163.19485,614,219.22
  其中:应收票据--950,000950,000
        应收账款405,102,992.11399,652,587.73462,616,163.19484,664,219.22
  预付款项384,994,842.06341,025,043.61352,769,343.62203,300,594.06
  其他应收款合计406,890,613.96406,242,645.43404,735,743.29396,881,240.59
  其中:应收利息25,062,246.5825,062,246.5825,062,246.5825,062,246.58
  存货314,884,454.99283,206,693.46284,954,870.09303,056,290.46
  合同资产5,385,439.415,385,439.415,385,439.427,648,646.47
  其他流动资产85,493,690.9277,868,308.579,441,212.8381,987,847.38
  流动资产合计1,835,681,787.121,928,441,013.81,995,669,692.981,926,628,733.72
非流动资产:
  长期股权投资614,630,971.74614,640,632.64611,725,961.51614,820,396.18
  其他权益工具投资900,000900,000900,000900,000
  投资性房地产11,250,117.2811,348,037.9711,445,958.6611,543,879.35
  固定资产1,315,212,598.331,331,449,280.131,354,565,163.231,366,189,440.24
  在建工程268,100,518.85194,964,572.09163,187,696.99121,755,330.89
  生产性生物资产134,089,560.19137,029,963.63136,566,585.29132,690,177.9
  使用权资产48,382,331.4448,990,071.1449,714,453.9118,681.16
  无形资产127,698,502.39129,027,718.4130,608,841.37132,028,576.83
  开发支出12,178,411.4512,073,859.6311,861,932.2811,694,327.82
  商誉17,092,407.7117,092,407.7117,092,407.7117,092,407.71
  长期待摊费用11,865,540.312,352,837.4213,255,739.5213,399,048.99
  递延所得税资产114,804,822.64114,477,465.86114,896,947.34114,508,735.34
  其他非流动资产124,763,607.62178,648,717.27190,299,956.11121,272,703.47
  非流动资产合计2,800,969,389.942,802,995,563.892,806,121,643.912,658,013,705.88
  资产总计4,636,651,177.064,731,436,577.694,801,791,336.894,584,642,439.6
流动负债:
  短期借款1,000,193,008.12956,396,629.5936,175,706.64858,908,905.51
  应付票据及应付账款533,410,917.58505,962,147.2604,074,940.9647,617,127.1
  其中:应付票据84,244,00068,077,245.25129,849,443.88155,522,125.83
        应付账款449,166,917.58437,884,901.95474,225,497.02492,095,001.27
  合同负债207,314,308.77125,011,407.13126,070,452.24110,170,984.52
  应付职工薪酬14,400,039.8714,260,104.3215,347,734.0625,164,493.74
  应交税费6,510,784.954,337,430.547,796,521.56,091,423.03
  其他应付款合计292,361,919.83298,498,168.09293,263,194.61286,563,106.56
  一年内到期的非流动负债234,812,153.05453,508,125.97371,190,310.77337,868,591.53
  其他流动负债41,210,745.3645,745,788.0356,269,644.0665,193,428.72
  流动负债合计2,330,213,877.532,403,719,800.782,410,188,504.782,337,578,060.71
非流动负债:
  长期借款953,847,032.5942,429,912.5986,314,912.5898,134,912.5
  租赁负债51,671,257.1351,220,889.9350,770,522.73-
  长期应付款3,941,313.231,075,0001,075,0007,678,180.26
  预计负债190,718,458.34190,718,458.34194,718,458.34194,718,458.34
  递延收益106,234,860.79101,488,793.87101,909,974.5896,440,146.89
  递延所得税负债260,126.79300,438.33402,568.64504,698.95
  非流动负债合计1,306,673,048.781,287,233,492.971,335,191,436.791,197,476,396.94
  负债合计3,636,886,926.313,690,953,293.753,745,379,941.573,535,054,457.65
所有者权益(或股东权益):
  实收资本(或股本)832,403,985832,403,985869,049,335869,049,335
  其他权益工具-8,593,943.9-8,593,943.9-8,593,943.9-109,113,811
  资本公积1,169,626,185.541,169,626,185.541,297,199,489.241,297,199,489.24
  减:库存股61,310,228.461,310,228.4225,528,882.1125,009,014
  其他综合收益-5,435,551.89-5,402,347.07-5,068,571.92-5,203,123.71
  盈余公积59,010,460.1659,010,460.1659,010,460.1659,010,460.16
  未分配利润-1,100,657,195.83-1,057,179,638.96-1,045,729,085.05-1,051,412,475.07
  归属于母公司股东权益合计885,043,710.68928,554,472.37940,338,801.43934,520,860.62
  少数股东权益114,720,540.07111,928,811.57116,072,593.89115,067,121.33
  股东权益合计999,764,250.751,040,483,283.941,056,411,395.321,049,587,981.95
  负债和股东权益合计4,636,651,177.064,731,436,577.694,801,791,336.894,584,642,439.6
公告日期2025-10-292025-08-262025-04-302025-04-25
审计意见(境内)标准无保留意见
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