当前位置:首页 - 行情中心 - 通裕重工(300185) - 财务分析 - 资产负债表

通裕重工

(300185)

  

流通市值:123.07亿  总市值:129.16亿
流通股本:38.46亿   总股本:40.36亿

资产负债表

报告期2026-03-312025-12-312025-09-302025-06-30
公司类型通用通用通用通用
流动资产:
  货币资金930,039,245.78899,975,023.41685,865,003.391,130,475,170.48
  交易性金融资产653,590.14653,590.14653,590.14653,590.14
  应收票据及应收账款2,435,562,111.842,541,208,138.382,933,058,892.972,553,078,782.28
  其中:应收票据576,863,205.21584,284,393574,511,795.91519,119,824.74
        应收账款1,858,698,906.631,956,923,745.382,358,547,097.062,033,958,957.54
  应收款项融资217,978,487.65268,732,515.28149,666,842.16230,497,953.94
  预付款项170,222,937.6120,096,537.9791,638,319.0970,462,897.09
  其他应收款合计25,252,238.3848,501,42821,177,412.1621,973,883.74
  存货3,549,344,535.173,452,338,238.043,183,476,155.343,096,369,455.38
  合同资产50,226,611.9278,797,679.9286,657,195.3889,186,145.63
  一年内到期的非流动资产70,693,186.465,482,855.18111,847,842.6790,703,005.06
  其他流动资产280,260,375.27260,825,573.28201,981,005.55223,464,227.18
  流动资产合计7,730,233,320.157,736,611,579.67,466,022,258.857,506,865,110.92
非流动资产:
  长期股权投资26,239,877.2426,675,163.9438,893,633.9339,592,178.59
  投资性房地产2,355,732.252,442,294.972,528,857.692,615,420.41
  固定资产5,538,892,306.295,656,813,916.345,814,529,523.145,909,688,159.8
  在建工程968,899,064.4922,302,494.23882,595,553.4833,955,997.99
  使用权资产32,423,055.9933,379,407.74263,262315,914.4
  无形资产405,580,978.06409,367,638.01412,981,954.82411,630,436.18
  长期待摊费用4,181,678.684,526,841.5115,287,175.5211,952,740.85
  递延所得税资产63,755,706.8255,689,831.0660,066,910.8150,762,357.96
  其他非流动资产285,145,784.02314,538,720.82202,169,887.63307,945,012.06
  非流动资产合计7,327,474,183.757,425,736,308.627,429,316,758.947,568,458,218.24
  资产总计15,057,707,503.915,162,347,888.2214,895,339,017.7915,075,323,329.16
流动负债:
  短期借款1,719,391,170.811,694,181,835.821,919,490,0002,222,740,000
  应付票据及应付账款1,428,306,075.622,143,145,810.931,680,340,899.421,627,554,242.49
  其中:应付票据414,770,781.71510,628,566.45372,221,659.78440,134,306.93
        应付账款1,013,535,293.911,632,517,244.481,308,119,239.641,187,419,935.56
  合同负债434,188,056.74298,431,277.09201,166,140.41199,764,481.95
  应付职工薪酬237,998,183.84241,998,047.16236,451,171.78224,147,282.37
  应交税费55,496,336.0867,573,256.5161,856,077.3256,237,397.29
  其他应付款合计108,897,259.8598,083,758.0295,038,776.92115,934,809.72
  其中:应付利息12,481,308.4611,038,765.015,562,813.26-
  一年内到期的非流动负债575,120,349.6614,410,496.18673,769,362.61551,016,167.2
  其他流动负债327,640,512.07307,544,050.19332,590,759.62268,075,123.39
  流动负债合计4,887,037,944.615,465,368,531.95,200,703,188.085,265,469,504.41
非流动负债:
  长期借款1,701,346,050.711,292,098,738.211,295,669,734.281,384,239,734.28
  应付债券1,045,404,408.651,390,668,658.451,380,568,197.071,370,247,696.69
  租赁负债28,690,429.6330,068,710.91285,962.74141,745.3
  预计负债4,741,149.222,937,804.81,023,477.061,208,213.15
  递延收益45,486,537.4342,171,614.8642,156,692.2938,520,957.82
  递延所得税负债30,716,749.3631,729,392.528,214,369.9234,053,593.28
  非流动负债合计2,856,385,3252,789,674,919.732,747,918,433.362,828,411,940.52
  负债合计7,743,423,269.618,255,043,451.637,948,621,621.448,093,881,444.93
所有者权益(或股东权益):
  实收资本(或股本)4,036,185,8503,897,148,6563,897,004,8883,896,994,967
  其他权益工具190,632,634.84255,522,747.51255,589,860.58255,594,510.45
  资本公积1,811,587,702.781,525,766,830.891,525,390,242.231,525,367,782.29
  减:库存股109,890,408109,890,408109,890,40849,965,966
  其他综合收益-758,192.15-626,192.7-648,803.33-646,426.13
  专项储备16,655,383.1911,691,950.3810,603,363.059,189,080.26
  盈余公积225,698,487.78225,698,487.78223,907,066.86223,907,066.86
  未分配利润1,089,010,890.521,047,719,212.841,090,946,779.821,067,860,695.19
  归属于母公司股东权益合计7,259,122,348.966,853,031,284.76,892,902,989.216,928,301,709.92
  少数股东权益55,161,885.3354,273,151.8953,814,407.1453,140,174.31
  股东权益合计7,314,284,234.296,907,304,436.596,946,717,396.356,981,441,884.23
  负债和股东权益合计15,057,707,503.915,162,347,888.2214,895,339,017.7915,075,323,329.16
公告日期2026-04-252026-04-222025-10-282025-08-27
审计意见(境内)标准无保留意见
TOP↑