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恒锋工具

(300488)

  

流通市值:49.09亿  总市值:58.96亿
流通股本:1.44亿   总股本:1.73亿

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83,640,720.4391,809,423.7379,715,446.0481,999,869.1
  交易性金融资产677,257,082.18681,656,788.67699,937,020.54713,773,988.65
  应收票据及应收账款239,785,569.65233,649,219.27200,728,201.03205,929,617.37
  其中:应收票据13,347,707.627,850,371.2910,565,981.7423,503,832.94
        应收账款226,437,862.03225,798,847.98190,162,219.29182,425,784.43
  应收款项融资84,869,306.4857,442,424.7949,081,590.7185,733,639.27
  预付款项12,937,578.9811,434,197.3615,391,854.6714,196,925.2
  其他应收款合计2,793,694.243,669,819.053,738,542.573,055,071.08
  存货152,753,076.17148,237,387.33152,261,430.14147,399,813.02
  其他流动资产1,971,325.1787,177.165,390.041,117,840.37
  流动资产合计1,256,008,353.31,227,986,437.31,200,919,475.741,253,206,764.06
非流动资产:
  长期股权投资9,691,104.689,399,168.229,431,055.599,399,528.99
  其他权益工具投资8,140,0008,140,00013,140,00013,140,000
  固定资产863,849,097.65862,375,465.18805,501,504.21782,130,943.34
  在建工程82,762,426.7758,350,950.7655,853,886.1161,984,265.61
  无形资产53,764,710.2954,558,533.3754,721,881.1955,057,108.77
  商誉13,449,019.9713,449,019.9713,449,019.9713,449,019.97
  长期待摊费用8,083,938.118,779,682.776,094,066.326,679,146.29
  递延所得税资产11,957,312.5512,300,655.9812,164,660.6212,686,671.99
  其他非流动资产8,414,410.732,067,386.2256,277,191.2228,848,130.52
  非流动资产合计1,060,112,020.721,059,420,862.471,026,633,265.23983,374,815.48
  资产总计2,316,120,374.022,287,407,299.772,227,552,740.972,236,581,579.54
流动负债:
  短期借款51,056,481.6756,043,835.656,051,650.6850,051,650.68
  应付票据及应付账款72,903,017.5578,671,417.3245,640,696.4159,264,987.96
  其中:应付票据26,175,615.7516,641,979.3410,761,094.0922,066,987.34
        应付账款46,727,401.862,029,437.9834,879,602.3237,198,000.62
  合同负债7,534,361.4711,038,979.3713,447,323.6622,993,774.59
  应付职工薪酬21,371,162.5914,987,727.178,130,395.8724,078,764.33
  应交税费11,329,397.9714,819,842.388,152,105.5313,119,980.96
  其他应付款合计567,018.38571,100.94576,594.481,183,794.79
  其他流动负债889,407.241,354,280.771,671,917.872,282,324.76
  流动负债合计165,650,846.87177,487,183.55133,670,684.5172,975,278.07
非流动负债:
  应付债券385,588,522.13381,163,061.96376,637,996.97527,882,489
  递延收益54,926,146.9357,236,757.7658,138,194.4360,435,897.77
  递延所得税负债4,969,176.955,090,991.995,986,909.085,929,086.59
  非流动负债合计445,483,846.01443,490,811.71440,763,100.48594,247,473.36
  负债合计611,134,692.88620,977,995.26574,433,784.98767,222,751.43
所有者权益(或股东权益):
  实收资本(或股本)173,146,892173,136,506173,135,809165,681,514
  其他权益工具73,616,393.3773,658,660.1773,661,518.32104,228,771.34
  资本公积411,635,202.41411,383,958.47411,367,064.32232,693,534.08
  减:库存股56,826,894.5556,826,894.5556,826,894.5556,826,894.55
  其他综合收益1,158,259.281,454,679.871,379,396.751,471,558.09
  盈余公积86,155,285.9486,155,285.9486,155,285.9486,155,285.94
  未分配利润1,016,100,542.69977,467,108.61964,246,776.21935,955,059.21
  归属于母公司股东权益合计1,704,985,681.141,666,429,304.511,653,118,955.991,469,358,828.11
  股东权益合计1,704,985,681.141,666,429,304.511,653,118,955.991,469,358,828.11
  负债和股东权益合计2,316,120,374.022,287,407,299.772,227,552,740.972,236,581,579.54
公告日期2025-10-282025-08-262025-04-292025-04-29
审计意见(境内)标准无保留意见
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