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经纬辉开

(300120)

  

流通市值:50.90亿  总市值:55.43亿
流通股本:5.27亿   总股本:5.74亿

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811,318,039.06849,114,214.67836,415,865.09991,751,263.13
  衍生金融资产1,259,575-59,200292,108.16
  应收票据及应收账款791,049,825.2835,314,223.92754,447,884.45780,330,186.89
  其中:应收票据34,715,163.6820,203,903.7567,571,567.1613,899,391.52
        应收账款756,334,661.52815,110,320.17686,876,317.29766,430,795.37
  应收款项融资106,418,033.6441,634,071.9644,034,864.9855,010,400.53
  预付款项56,072,737.276,809,237.9596,070,361.0599,936,180.64
  其他应收款合计41,950,981.0713,987,784.1117,077,584.7932,740,366.78
  存货821,869,281.7786,308,146.43696,824,317.82800,440,139.47
  一年内到期的非流动资产---79,878,509.38
  其他流动资产49,798,246.6137,296,632.1530,328,461.7119,433,805.39
  流动资产合计2,812,012,771.772,640,464,311.192,475,258,539.892,859,812,960.37
非流动资产:
  长期应收款---10,901,530.11
  长期股权投资170,454,440.67177,479,560.77176,872,082.0169,738,009.9
  其他非流动金融资产321,932,678.31318,172,678.31318,172,678.31136,323,449.87
  投资性房地产67,302,834.9568,738,102.7368,983,346.133,933,263.62
  固定资产543,650,085.66654,396,171.83664,945,843.79670,115,985.76
  在建工程28,625,779.9629,023,837.9831,662,043.4716,229,027.99
  使用权资产46,037,597.8748,461,025.0248,540,913.6150,543,567.97
  无形资产93,758,710.82129,270,127.39131,305,141.97190,464,022.21
  商誉495,728,368.06495,728,368.06495,728,368.06495,728,368.06
  长期待摊费用60,904,949.761,820,703.0355,424,147.774,642,385.02
  递延所得税资产54,940,975.6649,457,430.4745,059,523.3655,997,131.08
  其他非流动资产13,694,64213,604,64214,334,05215,712,028.15
  非流动资产合计1,897,031,063.662,046,152,647.592,051,028,140.411,790,328,769.74
  资产总计4,709,043,835.434,686,616,958.784,526,286,680.34,650,141,730.11
流动负债:
  短期借款603,619,329.17588,350,814.38539,339,946589,714,865.41
  衍生金融负债332,7004,951,347.374,986,166.649,132,511.56
  应付票据及应付账款456,015,363.32537,130,671.38398,451,333.07509,661,486.1
  其中:应付票据166,090,420.41219,201,610.11126,179,028.52181,319,070.97
        应付账款289,924,942.91317,929,061.27272,272,304.55328,342,415.13
  预收款项-375,384377,884.1467,032.36
  合同负债2,097,966.281,207,722.868,899,826.957,405,160.61
  应付职工薪酬29,704,062.1132,635,062.3839,045,108.6234,468,282.6
  应交税费13,949,689.18,529,726.7612,836,842.516,526,129.16
  其他应付款合计112,897,348.4134,612,870.1636,858,667.693,387,135.31
  一年内到期的非流动负债248,191,893.2199,687,382.24336,888,066.525,691,194.52
  其他流动负债30,479,163.6825,955,161.2631,737,834.1613,445,591.52
  流动负债合计1,526,201,559.861,433,436,142.791,409,421,676.261,179,899,389.15
非流动负债:
  长期借款31,500,000127,490,00034,690,000264,635,515.2
  租赁负债34,161,436.6347,530,977.0539,665,682.9456,187,472.09
  长期应付款61,984,600.5233,804,826.2314,886,784.5986,228,954.66
  递延收益15,441,515.4916,074,507.9916,707,767.4917,299,527.03
  递延所得税负债27,494,506.6227,470,666.1225,211,231.3127,706,473.12
  非流动负债合计170,582,059.26252,370,977.39131,161,466.33452,057,942.1
  负债合计1,696,783,619.121,685,807,120.181,540,583,142.591,631,957,331.25
所有者权益(或股东权益):
  实收资本(或股本)574,393,929575,393,929574,393,929574,393,929
  资本公积2,288,370,009.182,288,370,009.182,288,370,009.182,288,370,009.18
  其他综合收益20,260,199.410,429,264.8811,156,039.815,600,985.01
  专项储备9,377,171.748,045,947.276,002,041.065,301,903.78
  盈余公积56,737,557.9856,737,557.9856,737,557.9856,737,557.98
  未分配利润57,623,571.8156,363,124.1943,545,292.4787,780,013.91
  归属于母公司股东权益合计3,006,762,439.112,995,339,832.52,980,204,869.53,018,184,398.86
  少数股东权益5,497,777.25,470,006.15,498,668.21-
  股东权益合计3,012,260,216.313,000,809,838.62,985,703,537.713,018,184,398.86
  负债和股东权益合计4,709,043,835.434,686,616,958.784,526,286,680.34,650,141,730.11
公告日期2025-08-222025-04-252025-04-252024-10-25
审计意见(境内)标准无保留意见
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