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回天新材

(300041)

  

流通市值:68.38亿  总市值:70.26亿
流通股本:5.44亿   总股本:5.59亿

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630,380,745.24614,923,736.44662,306,334.34778,783,976.79
  交易性金融资产534,005,340.34439,897,892.1613,790,957.92405,449,047.48
  应收票据及应收账款1,898,425,545.31,843,214,923.381,751,562,943.421,700,050,876.58
  其中:应收票据525,211,365.59443,689,468.25448,256,041.24553,078,280.69
        应收账款1,373,214,179.711,399,525,455.131,303,306,902.181,146,972,595.89
  应收款项融资197,970,978.17162,190,038.53107,021,863.698,447,607.01
  预付款项48,708,971.9838,814,908.7350,830,467.7648,237,171.12
  其他应收款合计50,975,075.9234,011,670.7335,448,777.1532,578,054.5
  存货457,351,829.47458,701,778.81488,554,091.85575,438,496.45
  一年内到期的非流动资产444,747,660.96463,557,072.34566,035,348.64231,498,838.45
  其他流动资产29,660,326.8337,229,222.0939,804,418.5272,924,462.55
  流动资产合计4,292,226,474.214,092,541,243.154,315,355,203.23,943,408,530.93
非流动资产:
  债权投资21,137,818.4120,693,808.2225,048,902.94412,998,405.26
  长期股权投资159,132,554159,783,190.5171,097,562.9270,035,258.7
  其他非流动金融资产15,000,00015,000,00015,000,00015,000,000
  投资性房地产15,992,461.3116,337,727.3616,683,442.7517,047,577.97
  固定资产1,674,286,027.461,686,003,271.121,710,764,143.741,727,462,933.31
  在建工程169,350,249.3115,307,874.6264,984,480.1947,707,980.22
  使用权资产3,707,642.393,773,071.373,838,500.353,903,929.33
  无形资产257,347,885.91275,012,207.77279,496,154.8283,231,886.55
  商誉24,858,052.5124,858,052.5124,858,052.5124,858,052.51
  长期待摊费用2,321,643.06329,530.87408,158.17486,785.47
  递延所得税资产39,306,682.9737,210,010.4935,530,615.1131,579,892.55
  其他非流动资产39,511,282.5927,869,516.323,142,802.3616,270,683.46
  非流动资产合计2,421,952,299.912,382,178,261.142,270,852,815.842,650,583,385.33
  资产总计6,714,178,774.126,474,719,504.296,586,208,019.046,593,991,916.26
流动负债:
  短期借款849,054,437.5784,054,437.5790,000,000754,262,409.4
  交易性金融负债---193,107.57
  应付票据及应付账款1,029,546,800.961,030,002,259.571,118,922,863.461,241,655,143.4
  其中:应付票据528,119,120.25591,170,291.91751,019,649.84846,581,948.3
        应付账款501,427,680.71438,831,967.66367,903,213.62395,073,195.1
  合同负债13,920,033.759,582,951.129,512,417.517,993,527.35
  应付职工薪酬21,609,377.3716,999,633.5210,125,711.9219,787,132.92
  应交税费32,889,603.0526,491,672.0735,827,189.6917,284,001.91
  其他应付款合计136,252,535.76177,985,765.31167,604,161.18160,199,112.89
        应付股利-6,282,795.15--
  一年内到期的非流动负债80,735,471.77128,321,177.09129,940,077.38172,290,460.18
  其他流动负债361,300,331.25259,856,114.39247,246,214.34295,972,546.92
  流动负债合计2,525,308,591.412,433,294,010.572,509,178,635.472,679,637,442.54
非流动负债:
  长期借款165,200,000.07163,500,000.07190,500,000.06135,300,000.06
  应付债券846,285,337.67833,572,091.66821,018,784.26808,771,569.6
  租赁负债4,341,902.834,599,247.294,545,235.074,481,458.58
  长期应付款4,538,097.568,861,250.578,692,994.7612,957,168.33
  预计负债-4,600,0004,600,0004,600,000
  递延收益54,443,927.8853,783,638.5855,064,390.3850,383,243.9
  递延所得税负债5,964,995.966,221,635.976,478,962.096,781,341.8
  非流动负债合计1,080,774,261.971,075,137,864.141,090,900,366.621,023,274,782.27
  负债合计3,606,082,853.383,508,431,874.713,600,079,002.093,702,912,224.81
所有者权益(或股东权益):
  实收资本(或股本)559,434,222559,434,092559,434,027559,424,145
  其他权益工具129,104,984.88129,105,288.74129,105,439.23129,128,488.76
  资本公积795,443,533.59760,949,807.21750,391,010.48739,230,126.23
  减:库存股94,563,393.6126,817,748.6126,817,748.6126,817,748.6
  其他综合收益-2,361,506.26-2,764,271.91-1,499,855.08-1,292,052.32
  专项储备907,799.95844,773.45870,672.15698,761.54
  盈余公积173,991,008.65173,991,008.65173,991,008.65173,991,008.65
  未分配利润1,459,050,731.661,385,644,629.31,408,580,436.141,327,044,858.24
  归属于母公司股东权益合计3,021,007,380.872,880,387,578.842,894,054,989.972,801,407,587.5
  少数股东权益87,088,539.8785,900,050.7492,074,026.9889,672,103.95
  股东权益合计3,108,095,920.742,966,287,629.582,986,129,016.952,891,079,691.45
  负债和股东权益合计6,714,178,774.126,474,719,504.296,586,208,019.046,593,991,916.26
公告日期2025-10-282025-08-202025-04-282025-04-28
审计意见(境内)标准无保留意见
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