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雅化集团

(002497)

  

流通市值:121.31亿  总市值:132.08亿
流通股本:10.59亿   总股本:11.53亿

资产负债表

报告期2025-03-312024-12-312024-09-302024-06-30
公司类型通用通用通用通用
流动资产:
货币资金1,711,078,349.671,929,403,385.741,457,372,530.461,754,218,686.85
衍生金融资产2,575,5406,819,84000
应收票据及应收账款1,410,892,912.081,254,748,189.371,444,229,300.171,478,752,347.53
其中:应收票据333,957,939.04315,804,003.4307,863,734.57292,368,430.47
应收账款1,076,934,973.04938,944,185.971,136,365,565.61,186,383,917.06
应收款项融资158,495,577.77286,182,136.3258,897,321.71363,982,436.13
预付款项615,649,253.74357,818,153.05403,459,708.86402,119,200.22
其他应收款合计67,111,218.3980,972,813.73127,363,520.97189,355,931.6
其中:应收利息-00-
应收股利1,345,7001,345,7001,345,7001,345,700
存货1,842,999,447.791,645,325,875.231,484,505,661.011,524,697,610.57
合同资产124,778,217.0994,564,425.7597,880,007.63123,640,689.57
其他流动资产250,410,968.3230,165,335.69160,199,668.18260,519,689.49
流动资产平衡项目0000
流动资产合计7,534,048,400.887,591,882,991.187,289,672,203.398,095,105,041.96
非流动资产:
长期股权投资888,216,377.74885,478,709.26920,586,749.56954,037,568.38
其他权益工具投资111,903,103.6114,142,382.18124,892,189.04112,013,628.42
其他非流动金融资产--0-
投资性房地产36,046,875.2236,850,792.4227,990,309.928,732,762.07
固定资产2,793,867,429.832,591,242,832.031,995,459,998.492,026,633,722.75
在建工程449,419,019.46536,876,187.981,068,555,750.37605,025,562.77
生产性生物资产500,267500,267500,267500,267
使用权资产56,282,368.4654,610,177.4859,951,386.5251,196,827.15
无形资产993,116,165.561,002,010,352.53989,045,005.44998,712,369.85
开发支出5,027.05-1,781,769.21253,602.82
商誉483,519,748.93476,693,270.03475,593,062.44475,478,364.82
长期待摊费用135,799,201.29136,130,579.25103,273,015.87113,444,587.04
递延所得税资产421,326,286.63436,028,527.91450,743,535.18296,223,105.44
其他非流动资产165,809,647.34195,202,234.83258,406,953.1266,047,749.63
非流动资产平衡项目0000
非流动资产合计6,535,811,518.116,465,766,312.96,476,779,992.125,928,300,118.14
资产平衡项目0000
资产总计14,069,859,918.9914,057,649,304.0813,766,452,195.5114,023,405,160.1
流动负债:
短期借款261,419,511.28192,252,429.16102,174,992.54766,330,083.38
衍生金融负债--422,955.94882,250
应付票据及应付账款1,004,866,190.881,179,572,191.261,026,661,995.42888,015,041.68
其中:应付票据99,589,526.42196,576,975.19101,402,568.2878,985,807.63
应付账款905,276,664.46982,995,216.07925,259,427.14809,029,234.05
预收款项67,898.0379,523.03114,494.94126,119.94
合同负债96,277,385.2715,096,265.7326,292,039.3624,363,994.81
应付职工薪酬110,525,300.6165,550,994.48124,396,753.96114,695,706.54
应交税费132,220,613.83220,588,317.3203,807,316.98225,941,208.14
其他应付款合计129,885,481.66113,452,262.7149,123,211.21148,491,138.86
应付股利-0420,000420,000
一年内到期的非流动负债440,777,159.85519,295,138.64401,982,580.48305,528,140.84
其他流动负债266,854,437.28223,632,178.82226,974,798.24215,677,377.39
流动负债平衡项目0000
流动负债合计2,442,893,978.682,629,519,301.122,261,951,139.072,690,051,061.58
非流动负债:
长期借款428,306,685.72327,019,662.52436,107,218.07294,074,718.07
租赁负债45,579,311.5649,442,722.0948,778,477.1739,987,229.61
长期应付款26,206,329.2528,769,133.2832,824,836.8134,247,667.37
长期应付职工薪酬803,936.96878,196.431,076,832.251,095,950.68
预计负债32,488,175.5232,534,340.21--
递延收益150,168,361.76153,582,385.37161,030,104.14164,672,122.1
递延所得税负债37,804,192.1738,532,151.2943,730,037.5640,587,315.32
非流动负债平衡项目0000
非流动负债合计721,356,992.94630,758,591.19723,547,506574,665,003.15
负债平衡项目0000
负债合计3,164,250,971.623,260,277,892.312,985,498,645.073,264,716,064.73
所有者权益(或股东权益):
实收资本(或股本)1,152,562,5201,152,562,5201,152,562,5201,152,562,520
资本公积2,557,524,902.262,752,013,333.022,812,245,330.252,838,981,993.91
减:库存股100,016,820.71364,310,076.87364,310,076.87364,310,076.87
其他综合收益8,974,274.86-4,258,737.83-3,530,112.17-18,461,975.85
专项储备108,258,401.52109,445,255.03115,505,318.37113,688,203.17
盈余公积236,781,732.73236,781,732.73208,697,013.44208,697,013.44
未分配利润6,624,603,343.296,542,138,985.436,502,724,506.456,446,618,365.09
归属于母公司股东权益平衡项目0000
归属于母公司股东权益合计10,588,688,353.9510,424,373,011.5110,423,894,499.4710,377,776,042.89
少数股东权益316,920,593.42372,998,400.26357,059,050.97380,913,052.48
股东权益平衡项目0000
股东权益合计10,905,608,947.3710,797,371,411.7710,780,953,550.4410,758,689,095.37
负债和股东权益合计14,069,859,918.9914,057,649,304.0813,766,452,195.5114,023,405,160.1
公告日期2025-04-292025-04-292024-10-312024-08-30
审计意见(境内)标准无保留意见
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