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天赐材料

(002709)

  

流通市值:283.63亿  总市值:392.06亿
流通股本:13.85亿   总股本:19.14亿

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1,323,975,847.421,357,083,739.291,620,229,440.411,498,574,177.28
应收票据及应收账款5,102,948,433.814,909,274,827.014,869,856,324.644,662,052,606.67
应收账款5,102,948,433.814,909,274,827.014,869,856,324.644,662,052,606.67
应收款项融资858,770,475.86938,565,802.6655,211,057.22559,172,576.13
预付款项321,021,429.73375,580,143.62282,140,661.26606,430,740.12
其他应收款合计69,197,211.47120,799,704.18145,046,443.0718,976,050.9
应收股利--6,969,000-
存货1,254,280,975.141,411,811,510.281,363,690,318.781,300,992,170.02
其他流动资产1,756,944,602.652,184,746,099.331,864,316,713.431,685,293,347.01
流动资产平衡项目0000
流动资产合计11,175,828,070.5111,300,404,046.3110,801,397,528.8110,414,622,518.13
非流动资产:
长期股权投资377,334,080.91377,155,568.59386,194,474.27399,149,053.74
其他权益工具投资426,600,094425,040,638.47424,535,472.46450,131,055.95
固定资产7,484,588,830.927,634,134,789.117,753,650,1327,800,060,463.85
在建工程2,167,054,078.572,010,357,939.361,943,641,047.262,009,449,782.75
使用权资产28,606,040.1329,724,847.3130,843,654.4931,962,461.67
无形资产1,242,139,089.521,251,230,179.471,259,837,482.21,260,067,095.52
商誉200,401,565200,401,565200,401,565214,719,220.14
长期待摊费用15,768,555.5818,888,318.820,315,278.923,712,479.59
递延所得税资产138,549,900.17137,541,184.71126,443,169.61166,220,591.87
其他非流动资产1,182,476,214.8877,174,599.871,006,129,456.081,209,054,776.36
非流动资产平衡项目0000
非流动资产合计13,263,518,449.612,961,649,630.6913,151,991,732.2713,564,526,981.44
资产平衡项目0000
资产总计24,439,346,520.1124,262,053,67723,953,389,261.0823,979,149,499.57
流动负债:
短期借款1,935,528,369.651,752,309,078.21,520,426,322.691,388,769,731.32
衍生金融负债683,187.41184,2001,367,150-
应付票据及应付账款3,286,968,459.73,076,627,885.813,362,809,125.313,374,389,013.82
其中:应付票据24,604,04977,829,109218,443,774.44159,054,323.24
应付账款3,262,364,410.72,998,798,776.813,144,365,350.873,215,334,690.58
合同负债75,508,547130,148,131.3332,490,601.3996,788,721.81
应付职工薪酬124,378,242.2597,007,831.35147,434,289.99128,338,702.26
应交税费118,090,140.87103,321,852.24128,480,039.3152,801,351.31
其他应付款合计193,934,782225,638,280.84252,472,959.43226,485,884.67
应付股利--4,607,427.64,607,427.6
一年内到期的非流动负债520,641,237.58604,636,477.2424,090,435.31557,785,397.4
其他流动负债12,133,310.8921,497,506.776,291,578.0884,423,183.58
流动负债平衡项目0000
流动负债合计6,267,866,277.356,011,371,243.745,875,862,501.56,009,781,986.17
非流动负债:
长期借款1,088,042,235.261,137,812,970.551,041,331,705.84907,618,941.13
应付债券3,466,212,315.683,439,382,881.623,412,855,688.263,386,858,503.36
租赁负债25,426,707.4827,295,228.0627,416,567.9930,650,520.58
递延收益219,025,886.1214,244,543.55210,207,627.96172,540,053.46
递延所得税负债58,734,163.6360,249,067.761,144,546.2592,822,475.53
非流动负债平衡项目0000
非流动负债合计4,857,441,308.154,878,984,691.484,752,956,136.34,590,490,494.06
负债平衡项目0000
负债合计11,125,307,585.510,890,355,935.2210,628,818,637.810,600,272,480.23
所有者权益(或股东权益):
实收资本(或股本)1,914,344,1461,914,344,0771,918,825,0511,918,824,157
其他权益工具202,118,301.36202,118,552.83202,119,075.45202,120,442.3
资本公积1,449,785,378.461,428,464,548.611,654,892,572.561,714,587,499.79
减:库存股231,609,362.37230,616,018.37351,858,485.42231,840,177.74
其他综合收益176,521,091.84181,526,076.23175,969,402.6207,284,415.56
专项储备89,580,457.6789,580,457.6789,580,457.6773,033,077.84
盈余公积734,482,076.27734,482,076.27734,482,076.27633,188,776.59
未分配利润8,761,518,389.878,833,808,521.188,679,582,904.078,634,554,621.69
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13,096,740,479.113,153,708,291.4213,103,593,054.213,151,752,813.03
少数股东权益217,298,455.51217,989,450.36220,977,569.08227,124,206.31
股东权益平衡项目0000
股东权益合计13,314,038,934.6113,371,697,741.7813,324,570,623.2813,378,877,019.34
负债和股东权益合计24,439,346,520.1124,262,053,67723,953,389,261.0823,979,149,499.57
公告日期2025-08-192025-04-232025-04-152024-10-26
审计意见(境内)标准无保留意见
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