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楚天高速

(600035)

  

流通市值:66.01亿  总市值:66.01亿
流通股本:16.10亿   总股本:16.10亿

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655,121,924.66349,970,036.39659,181,878.21951,065,661.86
  应收票据及应收账款306,073,352.71303,919,634.88312,604,409.44298,128,444.94
  其中:应收票据18,782,276.2911,747,909.368,149,888.13,538,053.55
        应收账款287,291,076.42292,171,725.52304,454,521.34294,590,391.39
  应收款项融资2,784,32027,624,43224,825,12424,840,112
  预付款项48,606,474.0514,161,327.0313,653,360.9113,475,251.41
  其他应收款合计174,761,108.9149,420,490.84126,259,700.4399,062,636.51
  其中:应收利息152,795,297.28130,320,710.72107,195,094.9682,372,418.37
  存货75,735,168.2962,667,193.1158,971,072.7547,704,690.38
  合同资产6,027,234.256,089,240.736,046,761.887,009,116.17
  其他流动资产87,728,693.6186,443,055.8380,760,945.2980,122,363.22
  流动资产合计1,356,838,276.471,000,295,410.811,282,303,252.911,521,408,276.49
非流动资产:
  其他债权投资3,030,000,0003,010,000,0002,990,000,0002,570,000,000
  长期应收款1,968,489.181,968,489.181,968,489.183,971,321.55
  长期股权投资291,955,708.96287,261,444.59292,725,134.53275,725,134.53
  其他权益工具投资130,708,256.05133,413,200.05154,828,667.05156,815,223.05
  固定资产751,420,339.62766,943,335.63765,273,026.71777,344,578.1
  在建工程341,805,229.72309,464,799.6282,953,972.26277,722,005.35
  使用权资产113,748,308.94106,560,267.09112,312,494.69117,741,897.2
  无形资产15,386,265,835.5815,039,191,437.414,887,922,484.9914,810,152,525.37
  开发支出3,479,660.733,427,467.722,348,674.733,308,606.7
  商誉10,553,664.3910,553,664.3910,553,664.3910,553,664.39
  长期待摊费用31,165,648.234,146,286.7828,201,700.5528,538,346.13
  递延所得税资产58,165,037.9255,059,595.3854,245,037.4956,240,911.03
  其他非流动资产386,761,519.27293,450,327.791,390,655.74,781,519.22
  非流动资产合计20,537,997,698.5620,051,440,315.619,584,724,002.2719,092,895,732.62
  资产总计21,894,835,975.0321,051,735,726.4120,867,027,255.1820,614,304,009.11
流动负债:
  短期借款2,012,201,877.491,951,166,472.232,161,403,388.991,901,326,844.42
  应付票据及应付账款401,643,990.37374,510,401.74315,474,499.7508,638,981.25
  其中:应付票据5,125,495.832,238,409.42-4,624,237.95
        应付账款396,518,494.54372,271,992.32315,474,499.7504,014,743.3
  预收款项4,888,302.275,094,609.565,047,996.882,897,265.25
  合同负债43,612,158.0317,900,956.5919,034,944.2710,905,083.78
  应付职工薪酬18,755,293.2424,314,324.420,333,218.8521,473,444.31
  应交税费77,235,222.4566,640,523.77130,399,692.0398,336,577.63
  其他应付款合计221,665,400.05219,256,680.23224,727,389.26230,237,451.75
  一年内到期的非流动负债444,561,950.21920,137,186.241,028,085,236.51900,589,693.4
  其他流动负债814,401,780.09830,310,996.04826,111,117.991,625,400,953.7
  流动负债合计4,038,965,974.24,409,332,150.84,730,617,484.485,299,806,295.49
非流动负债:
  长期借款5,252,274,902.654,845,737,375.554,501,074,015.914,548,660,744.11
  应付债券1,379,491,398.35879,603,950.3539,814,484.15-
  租赁负债95,284,235.3692,570,692.9895,220,102.1898,590,833.42
  递延收益391,186,359.41411,659,135.67432,675,335.83452,953,949.76
  递延所得税负债104,231,210.41102,404,567.7481,608,618.6782,748,554.06
  其他非流动负债2,456,397.572,474,815.932,481,538.412,485,037.5
  非流动负债合计7,224,924,503.756,334,450,538.175,652,874,095.155,185,439,118.85
  负债合计11,263,890,477.9510,743,782,688.9710,383,491,579.6310,485,245,414.34
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1,107,002,873.361,107,002,873.361,107,002,873.361,107,002,873.36
  其他综合收益-50,292,390.51-50,433,530.92-29,054,443.76-29,028,178.92
  专项储备1,146,422.071,318,117.21,650,842.391,711,444.58
  盈余公积1,683,730,965.471,683,730,965.471,683,730,965.471,683,730,965.47
  未分配利润4,552,290,448.344,386,485,500.844,534,055,413.254,257,371,080.58
  归属于母公司股东权益合计8,903,994,219.738,738,219,826.958,907,501,551.718,630,904,086.07
  少数股东权益1,726,951,277.351,569,733,210.491,576,034,123.841,498,154,508.7
  股东权益合计10,630,945,497.0810,307,953,037.4410,483,535,675.5510,129,058,594.77
  负债和股东权益合计21,894,835,975.0321,051,735,726.4120,867,027,255.1820,614,304,009.11
公告日期2025-10-302025-08-292025-04-302025-04-25
审计意见(境内)标准无保留意见
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