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三和管桩

(003037)

  

流通市值:46.31亿  总市值:46.31亿
流通股本:5.99亿   总股本:5.99亿

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540,424,431.61885,972,464.53717,285,227.821,333,887,004.41
  交易性金融资产545,775,094.89527,258,636.38564,139,311.583,030,277.43
  应收票据及应收账款2,106,458,176.091,823,643,090.092,059,757,831.921,903,599,363.87
  其中:应收票据676,402,972.1598,450,545.48790,686,717.58856,682,599.3
        应收账款1,430,055,203.991,225,192,544.611,269,071,114.341,046,916,764.57
  应收款项融资90,077,554.3695,117,872.95137,094,396.19136,494,053.68
  预付款项17,801,562.9115,438,934.220,540,512.423,278,515.05
  其他应收款合计34,487,962.2931,972,472.7731,102,120.9725,189,186.46
  存货585,943,493.16525,496,207.5486,849,274.64436,359,187.13
  其他流动资产125,665,528.3130,346,983.32161,314,911.68161,285,819.16
  流动资产合计4,046,633,803.614,035,246,661.744,178,083,587.24,023,123,407.19
非流动资产:
  长期股权投资37,123,573.5537,537,352.4837,538,994.8637,550,699.21
  固定资产2,117,477,961.542,023,749,676.261,993,896,380.751,896,444,099.22
  在建工程76,635,495.06166,845,042.03172,320,964.79273,570,523.61
  使用权资产157,190,592.74164,019,562.99170,906,887.68177,794,212.42
  无形资产368,191,781.94371,018,681.05469,289,578.16472,521,805.77
  长期待摊费用26,585,676.6629,136,690.3828,789,117.2930,331,865.65
  递延所得税资产45,604,323.443,487,475.1441,041,608.2442,130,765.9
  其他非流动资产60,263,924.5458,276,824.8947,648,593.0737,675,770.65
  非流动资产合计2,889,073,329.432,894,071,305.222,961,432,124.842,968,019,742.43
  资产总计6,935,707,133.046,929,317,966.967,139,515,712.046,991,143,149.62
流动负债:
  短期借款1,100,760,282.91,102,229,955.061,189,464,262.691,012,875,325.79
  应付票据及应付账款1,000,545,467.37985,586,248.921,015,536,776.781,105,679,582.26
  其中:应付票据136,968,152.1369,023,790.28111,445,226.8390,703,269.48
        应付账款863,577,315.24916,562,458.64904,091,549.951,014,976,312.78
  合同负债96,609,810.5282,829,518.5999,855,865.34112,151,660.45
  应付职工薪酬142,795,863.71134,548,637.61126,757,921.28132,497,335.63
  应交税费35,545,584.1428,803,927.4537,185,815.738,124,139.85
  其他应付款合计46,925,077.5276,349,760.8253,659,251.538,255,930.45
        应付股利-29,815,632--
  一年内到期的非流动负债195,974,432.79361,462,885.75416,696,824.03481,062,977.48
  其他流动负债548,889,585.14496,255,998.67671,621,144.82587,277,260
  流动负债合计3,168,046,104.093,268,066,932.873,610,777,862.143,507,924,211.91
非流动负债:
  长期借款771,478,800.09677,555,441.89546,424,446.28512,124,597.52
  租赁负债111,764,226.5113,752,644.74113,536,068.29135,226,398.2
  预计负债13,136,140.413,136,140.413,251,190.413,251,190.4
  递延收益41,637,478.0243,028,693.9443,028,517.743,927,938.13
  递延所得税负债1,782,598.75960,115.48951,751.25893,411.71
  非流动负债合计939,799,243.76848,433,036.45717,191,973.92705,423,535.96
  负债合计4,107,845,347.854,116,499,969.324,327,969,836.064,213,347,747.87
所有者权益(或股东权益):
  实收资本(或股本)599,074,678599,074,678599,074,678599,074,678
  资本公积1,472,302,344.041,472,302,344.041,472,302,344.041,472,302,344.04
  减:库存股19,999,447.6319,999,447.6319,999,447.6319,999,447.63
  其他综合收益702,254.99700,485.79696,506.88821,882.71
  专项储备16,834,913.8616,659,680.5418,539,516.8318,700,627.99
  盈余公积113,603,778.63113,603,778.63113,603,778.63113,603,778.63
  未分配利润621,521,185.47607,488,100.32605,461,023.55570,859,741.08
  归属于母公司股东权益合计2,804,039,707.362,789,829,619.692,789,678,400.32,755,363,604.82
  少数股东权益23,822,077.8322,988,377.9521,867,475.6822,431,796.93
  股东权益合计2,827,861,785.192,812,817,997.642,811,545,875.982,777,795,401.75
  负债和股东权益合计6,935,707,133.046,929,317,966.967,139,515,712.046,991,143,149.62
公告日期2025-10-292025-08-272025-04-292025-04-29
审计意见(境内)标准无保留意见
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