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金正大

(002470)

  

流通市值:65.71亿  总市值:65.72亿
流通股本:32.86亿   总股本:32.86亿

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1,010,379,467.091,109,238,708.67969,657,656.13888,793,658.47
  交易性金融资产16,210,000210,00010,0000
  衍生金融资产--2,500-
  应收票据及应收账款1,136,342,105.45847,580,234.15729,839,060.52667,497,296.71
  其中:应收票据652,505,479.09426,694,015.74234,287,493.18198,333,168.28
        应收账款483,836,626.36420,886,218.41495,551,567.34469,164,128.43
  应收款项融资4,547,066.263,692,256.166,589,144.5818,208,789.38
  预付款项442,344,654.56452,477,470.42695,122,388.27288,718,237.09
  其他应收款合计44,766,522.1983,465,379.2566,542,014.259,832,579.79
        应收股利-20,400,000--
  存货2,681,568,672.372,825,613,186.872,569,848,899.932,497,744,249.64
  一年内到期的非流动资产--0-
  其他流动资产77,262,373.19113,364,011.46111,390,882.56149,395,027.57
  流动资产合计5,413,420,861.115,435,641,246.985,149,002,546.194,570,189,838.65
非流动资产:
  长期股权投资930,709,420.91921,607,100.06992,628,606.74994,844,346.25
  其他权益工具投资85,989,739.1185,989,739.1186,674,039.3886,674,039.38
  固定资产3,982,537,879.053,842,779,973.333,739,129,169.543,857,239,779.75
  在建工程298,503,125.23480,256,297.95603,548,203.74547,593,195.08
  使用权资产52,710,553.6954,782,593.7954,817,785.6335,511,166.4
  无形资产699,771,875.72703,245,876.57689,170,737.5694,384,058.44
  商誉107,443.65107,443.65107,443.65107,443.65
  长期待摊费用4,169,432.853,740,754.553,549,673.393,705,129.77
  递延所得税资产33,237,524.7534,471,133.6232,215,480.7632,740,178.31
  其他非流动资产206,824,181.18212,721,575.04212,429,166.22217,455,837.35
  非流动资产合计6,294,561,176.146,339,702,487.676,414,270,306.556,470,255,174.38
  资产总计11,707,982,037.2511,775,343,734.6511,563,272,852.7411,040,445,013.03
流动负债:
  短期借款2,147,458,080.472,100,614,254.721,452,527,607.521,326,554,552.37
  衍生金融负债38,42026,88016,4400
  应付票据及应付账款1,557,890,764.161,527,741,451.581,485,247,890.321,503,283,979.41
  其中:应付票据628,605,259.2552,791,515.18626,705,185.75644,532,624.64
        应付账款929,285,504.96974,949,936.4858,542,704.57858,751,354.77
  合同负债1,584,107,208.731,874,304,965.051,836,505,177.481,489,463,550.35
  应付职工薪酬281,834,690.16280,733,568.07294,882,408.57308,893,786.29
  应交税费40,378,453.5837,015,019.6440,506,036.6627,733,225.61
  其他应付款合计400,218,345.86460,286,231.95453,838,011.81414,771,340.02
  其中:应付利息-39,899,388.57-40,646,346.85
  一年内到期的非流动负债23,598,13849,265,583.82723,299,910.97936,247,696.34
  其他流动负债794,217,544.52576,853,322.5380,387,591.22333,490,706.95
  流动负债合计6,829,741,645.486,906,841,277.336,667,211,074.556,340,438,837.34
非流动负债:
  长期借款2,584,538,988.492,598,136,837.652,584,101,279.952,418,798,112.24
  租赁负债29,288,309.8530,339,209.6430,304,189.4410,152,363.47
  长期应付款20,659.3911,802,348.8211,672,378.5511,541,913.76
  长期应付职工薪酬0--0
  预计负债15,135,692.2730,000,0009,201,259.8812,099,447.15
  递延收益104,570,653.3108,700,995.8103,288,439.23102,372,428.58
  递延所得税负债3,884,616.84,013,216.634,171,444.944,342,864.45
  其他非流动负债0-00
  非流动负债合计2,737,438,920.12,782,992,608.542,742,738,991.992,559,307,129.65
  负债合计9,567,180,565.589,689,833,885.879,409,950,066.548,899,745,966.99
所有者权益(或股东权益):
  实收资本(或股本)3,286,027,7423,286,027,7423,286,027,7423,286,027,742
  资本公积1,829,054,232.311,829,054,232.311,829,054,232.311,829,054,232.31
  其他综合收益-126,523,995.4-125,766,865.03-135,756,234.65-133,307,058.89
  专项储备59,582,096.1351,109,660.3542,831,137.6137,564,236
  盈余公积376,990,771.15376,990,771.15376,990,771.15376,990,771.15
  未分配利润-3,370,309,551.84-3,419,147,600.61-3,332,029,862.42-3,340,833,155.63
  归属于母公司股东权益合计2,054,821,294.351,998,267,940.172,067,117,7862,055,496,766.94
  少数股东权益85,980,177.3287,241,908.6186,205,000.285,202,279.1
  股东权益合计2,140,801,471.672,085,509,848.782,153,322,786.22,140,699,046.04
  负债和股东权益合计11,707,982,037.2511,775,343,734.6511,563,272,852.7411,040,445,013.03
公告日期2025-10-312025-08-262025-04-292025-04-26
审计意见(境内)标准无保留意见
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