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楚天高速

(600035)

  

流通市值:73.74亿  总市值:73.74亿
流通股本:16.10亿   总股本:16.10亿

资产负债表

报告期2023-12-312023-09-302023-06-302023-03-31
公司类型通用通用通用通用
流动资产:
货币资金1,631,312,899.892,273,784,573.082,238,814,056.332,863,680,485.86
应收票据及应收账款267,438,622.55305,820,958.23463,587,783.34434,501,473.15
其中:应收票据3,631,465.491,500,0002,552,8201,321,171.32
应收账款263,807,157.06304,320,958.23461,034,963.34433,180,301.83
应收款项融资-0--
预付款项22,523,834.1175,979,832.7651,330,500.4631,929,727.56
其他应收款合计36,482,976.4225,655,288.6215,453,200.8123,641,153.83
其中:应收利息21,194,101.858,538,972.22,975,205.55-
存货65,294,683.2364,639,254.5228,901,231.2559,228,184.19
合同资产11,165,771.211,634,049.11,648,161.191,648,161.19
其他流动资产55,570,133.7461,850,543.7760,837,486.8950,552,921.83
流动资产平衡项目0000
流动资产合计2,089,788,921.152,809,364,500.082,860,572,420.273,465,182,107.61
非流动资产:
其他债权投资990,000,000853,139,811.26650,000,000-
长期应收款5,642,777.237,085,825.728,218,921.599,632,305.21
长期股权投资268,347,937.14259,985,585.51249,985,585.51253,756,077.57
其他权益工具投资184,776,233.56201,930,417.16201,930,417.16183,485,535.83
固定资产798,208,219.79708,654,471.99713,031,706.82740,395,629.14
在建工程214,378,601.72181,194,120.97143,921,836.03131,192,095.73
使用权资产128,448,693.4432,265,631.6831,993,588.235,144,457.94
无形资产14,791,754,145.3113,754,937,193.3513,911,046,366.0914,051,263,321.23
开发支出1,935,486.51119,969.81--
长期待摊费用23,235,637.5417,487,194.7217,726,726.7518,221,043.98
递延所得税资产44,458,506.917,523,640.2419,285,057.0218,815,885.94
其他非流动资产5,863,602.9310,222,569.710,356,523.5910,356,523.59
非流动资产平衡项目0000
非流动资产合计17,457,049,842.0716,044,546,432.1115,957,496,728.7615,452,262,876.16
资产平衡项目0000
资产总计19,546,838,763.2218,853,910,932.1918,818,069,149.0318,917,444,983.77
流动负债:
短期借款1,321,175,194.511,571,057,111.222,071,441,388.922,471,877,472.16
应付票据及应付账款521,680,617.63405,192,445.14342,095,458.51365,484,634.69
其中:应付票据52,550,678.36--27,349,228.23
应付账款469,129,939.27405,192,445.14342,095,458.51338,135,406.46
预收款项3,474,871.727,332,535.895,156,265.3922,554,111.29
合同负债17,216,146.6313,860,321.7318,619,819.4115,369,859.92
应付职工薪酬24,267,251.3318,349,435.1618,958,689.2923,432,296.1
应交税费149,207,640.7185,264,709.2876,977,146.79104,308,042.21
其他应付款合计337,534,421.01157,186,033.23161,178,556.9110,484,226.88
一年内到期的非流动负债1,841,131,558.24775,525,892.02787,359,375.08546,811,456.67
其他流动负债1,207,445,793.86901,896,067.941,201,824,280.34601,220,229.02
流动负债平衡项目0000
流动负债合计5,423,133,495.643,935,664,551.614,683,610,980.634,261,542,328.94
非流动负债:
长期借款3,407,856,0004,197,176,0004,210,384,0004,645,100,000
应付债券499,709,320999,469,521.67499,533,737.05503,092,507.22
租赁负债107,697,780.0431,166,091.5430,469,603.0430,962,524.54
预计负债-89,829.5189,829.51110,370.51
递延收益529,751,452.38550,044,740.09568,721,490.75594,994,886.05
递延所得税负债44,105,475.2511,209,860.2411,302,626.0711,859,171.57
其他非流动负债2,448,545.48--59,200,000
非流动负债平衡项目0000
非流动负债合计4,591,568,573.155,789,156,043.055,320,501,286.425,845,319,459.89
负债平衡项目0000
负债合计10,014,702,068.799,724,820,594.6610,004,112,267.0510,106,861,788.83
所有者权益(或股东权益):
实收资本(或股本)1,610,115,9011,610,115,9011,610,115,9011,610,115,901
资本公积1,107,002,873.361,098,366,926.641,107,002,873.361,107,002,873.36
其他综合收益-5,874,818.318,160,121.619,049,664.412,315,809.85
专项储备652,784.22---
盈余公积1,629,348,998.251,457,523,506.491,457,523,506.491,457,523,506.49
未分配利润3,850,040,661.653,884,416,007.613,664,118,083.63,659,371,944.4
归属于母公司股东权益平衡项目0000
归属于母公司股东权益合计8,191,286,400.178,058,582,463.357,847,810,028.857,846,330,035.1
少数股东权益1,340,850,294.261,070,507,874.18966,146,853.13964,253,159.84
股东权益平衡项目0000
股东权益合计9,532,136,694.439,129,090,337.538,813,956,881.988,810,583,194.94
负债和股东权益合计19,546,838,763.2218,853,910,932.1918,818,069,149.0318,917,444,983.77
公告日期2024-04-192023-10-262023-08-302023-04-28
审计意见(境内)标准无保留意见
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