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大金重工

(002487)

  

流通市值:245.18亿  总市值:247.83亿
流通股本:6.31亿   总股本:6.38亿

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3,340,849,198.843,199,044,871.472,869,022,557.122,518,115,108.3
  交易性金融资产10,014,417.42---
  应收票据及应收账款1,299,364,049.921,520,763,345.771,369,209,900.621,491,157,173.94
  其中:应收票据34,375,208.2532,269,26659,588,397.6747,450,796.03
        应收账款1,264,988,841.671,488,494,079.771,309,621,502.951,443,706,377.91
  应收款项融资323,668,011.14429,818,208.47254,166,889.08318,457,254.29
  预付款项746,173,386.91711,906,239.76544,967,318.021,084,256,777.72
  其他应收款合计67,564,525.3282,634,852.1943,249,363.5123,386,236.34
  存货2,372,699,354.661,857,789,024.792,084,479,105.732,166,158,625.81
  合同资产304,172,567.48306,188,995.47278,735,118.41378,283,159.69
  一年内到期的非流动资产486,246.64-52,757,643.88-
  其他流动资产435,314,903.31284,725,120.57238,671,942.21224,149,383.04
  流动资产合计8,900,306,661.648,392,870,658.497,735,259,838.588,203,963,719.13
非流动资产:
  债权投资10,000,00010,413,945.2610,000,000114,419,205.54
  固定资产2,767,085,295.022,277,845,058.92,308,722,586.162,093,888,340.39
  在建工程909,032,572.911,159,955,179.89707,935,993.03443,558,344.16
  使用权资产264,907,123.7262,639,909.16268,738,950.35319,940,490.27
  无形资产291,351,159.07279,834,837.86259,693,979.48333,650,938.85
  长期待摊费用949,045.94497,628.3544,280.97-
  递延所得税资产95,649,112.3773,646,466.7774,600,863.2649,758,064.08
  其他非流动资产208,432,227.01288,174,417.28196,452,899.315,433,735.78
  非流动资产合计4,547,406,536.024,353,007,443.423,826,689,552.563,360,649,119.07
  资产总计13,447,713,197.6612,745,878,101.9111,561,949,391.1411,564,612,838.2
流动负债:
  短期借款23,026,302.6929,306,143.9534,031,194.48-
  应付票据及应付账款2,084,903,108.331,664,990,065.661,851,101,536.422,009,683,603.95
  其中:应付票据1,155,325,394.651,007,126,424.661,139,589,715.31,176,369,769.83
        应付账款929,577,713.68657,863,641711,511,821.12833,313,834.12
  合同负债1,510,087,968.11,489,197,597.431,388,935,782.471,683,593,193.75
  应付职工薪酬75,339,823.7257,797,544.6130,821,268.1215,183,948.74
  应交税费84,083,873.9680,840,150.6160,745,967.1939,913,156.76
  其他应付款合计66,943,907.877,232,885.6478,064,014.1180,702,530.67
  一年内到期的非流动负债112,034,554.014,309,827.3953,591,325.1732,337,291.37
  其他流动负债30,678,708.333,220,356.2231,126,084.6832,295,185.76
  流动负债合计3,987,098,246.913,436,894,571.513,528,417,172.643,893,708,911
非流动负债:
  长期借款1,188,262,380.021,310,031,563.3264,967,887.4-
  租赁负债209,497,232.74201,932,359.35203,084,642.23198,839,361.74
  长期应付款167,498,105.37163,109,805.37161,361,205.37212,193,560.67
  递延收益125,023,245.11125,924,288.84126,825,332.57176,042,874.66
  递延所得税负债3,803,224.225,283,890.195,283,890.194,040,696.17
  非流动负债合计1,694,084,187.461,806,281,907.05761,522,957.76591,116,493.24
  负债合计5,681,182,434.375,243,176,478.564,289,940,130.44,484,825,404.24
所有者权益(或股东权益):
  实收资本(或股本)637,749,349637,749,349637,749,349637,749,349
  资本公积3,806,028,183.93,806,028,183.93,806,028,183.93,806,028,183.9
  其他综合收益-1,830,264.92-1,117,905-856,302.64-1,207,446.29
  盈余公积98,313,110.8698,313,110.8698,313,110.8694,421,793.72
  未分配利润3,226,270,384.452,961,728,884.592,730,774,919.622,542,795,553.63
  归属于母公司股东权益合计7,766,530,763.297,502,701,623.357,272,009,260.747,079,787,433.96
  股东权益合计7,766,530,763.297,502,701,623.357,272,009,260.747,079,787,433.96
  负债和股东权益合计13,447,713,197.6612,745,878,101.9111,561,949,391.1411,564,612,838.2
公告日期2025-08-272025-04-222025-04-122024-10-31
审计意见(境内)标准无保留意见
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