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楚天高速

(600035)

  

流通市值:69.56亿  总市值:69.56亿
流通股本:16.10亿   总股本:16.10亿

资产负债表

报告期2025-03-312024-12-312024-09-302024-06-30
公司类型通用通用通用通用
流动资产:
货币资金659,181,878.21951,065,661.86792,379,203.61792,710,887.14
应收票据及应收账款312,604,409.44298,128,444.94244,638,279.97246,744,800.51
其中:应收票据8,149,888.13,538,053.557,973,645.68,303,401.82
应收账款304,454,521.34294,590,391.39236,664,634.37238,441,398.69
应收款项融资24,825,12424,840,11224,980,00016,000,000
预付款项13,653,360.9113,475,251.4123,170,730.0813,300,869.9
其他应收款合计126,259,700.4399,062,636.5182,685,480.2360,745,047.77
其中:应收利息107,195,094.9682,372,418.3763,805,096.245,152,472.88
存货58,971,072.7547,704,690.38105,447,194.998,587,198.41
合同资产6,046,761.887,009,116.174,264,076.275,249,184.03
其他流动资产80,760,945.2980,122,363.2269,683,648.3969,174,097.13
流动资产平衡项目0000
流动资产合计1,282,303,252.911,521,408,276.491,347,248,613.451,302,512,084.89
非流动资产:
其他债权投资2,990,000,0002,570,000,0002,440,000,0002,240,000,000
长期应收款1,968,489.183,971,321.553,903,224.073,903,224.07
长期股权投资292,725,134.53275,725,134.53277,613,907.45272,242,505.23
其他权益工具投资154,828,667.05156,815,223.05182,096,251.86183,768,006.56
固定资产765,273,026.71777,344,578.1764,707,653.1776,215,812.49
在建工程282,953,972.26277,722,005.35241,699,150.45223,163,263.62
使用权资产112,312,494.69117,741,897.2132,208,317.7136,140,997.16
无形资产14,887,922,484.9914,810,152,525.3714,252,494,315.3714,432,174,133.69
开发支出2,348,674.733,308,606.75,752,920.932,733,186.51
商誉10,553,664.3910,553,664.39--
长期待摊费用28,201,700.5528,538,346.1321,740,368.6522,622,124.36
递延所得税资产54,245,037.4956,240,911.0349,704,077.3349,846,829.53
其他非流动资产1,390,655.74,781,519.227,400,191.4711,439,085.71
非流动资产平衡项目0000
非流动资产合计19,584,724,002.2719,092,895,732.6218,379,320,378.3818,354,249,168.93
资产平衡项目0000
资产总计20,867,027,255.1820,614,304,009.1119,726,568,991.8319,656,761,253.82
流动负债:
短期借款2,161,403,388.991,901,326,844.422,051,314,694.422,451,578,583.28
应付票据及应付账款315,474,499.7508,638,981.25293,344,007.79288,331,953.58
其中:应付票据-4,624,237.95746,934.313,641,076.84
应付账款315,474,499.7504,014,743.3292,597,073.49274,690,876.74
预收款项5,047,996.882,897,265.254,564,714.715,333,019.3
合同负债19,034,944.2710,905,083.7857,803,519.5448,388,216.25
应付职工薪酬20,333,218.8521,473,444.3115,941,781.6330,234,058.61
应交税费130,399,692.0398,336,577.63111,963,538.2180,959,160.73
其他应付款合计224,727,389.26230,237,451.7597,198,569.3891,398,607.78
一年内到期的非流动负债1,028,085,236.51900,589,693.4895,000,848.43952,920,399.57
其他流动负债826,111,117.991,625,400,953.71,619,276,366.92767,015,651.39
流动负债平衡项目0000
流动负债合计4,730,617,484.485,299,806,295.495,146,408,041.034,716,159,650.49
非流动负债:
长期借款4,501,074,015.914,548,660,744.114,007,420,0004,066,228,000
应付债券539,814,484.15--499,818,730.16
租赁负债95,220,102.1898,590,833.42112,894,393.13118,129,448.74
递延收益432,675,335.83452,953,949.76472,871,484.88492,533,778.97
递延所得税负债81,608,618.6782,748,554.0665,724,173.5464,798,876.92
其他非流动负债2,481,538.412,485,037.52,432,164.942,463,784.79
非流动负债平衡项目0000
非流动负债合计5,652,874,095.155,185,439,118.854,661,342,216.495,243,972,619.58
负债平衡项目0000
负债合计10,383,491,579.6310,485,245,414.349,807,750,257.529,960,132,270.07
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-29,054,443.76-29,028,178.92-5,918,390.76-5,946,723.49
专项储备1,650,842.391,711,444.58635,221.96652,236.09
盈余公积1,683,730,965.471,683,730,965.471,629,348,998.251,629,348,998.25
未分配利润4,534,055,413.254,257,371,080.584,207,058,465.693,986,947,196.56
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8,907,501,551.718,630,904,086.078,548,243,069.58,328,120,481.77
少数股东权益1,576,034,123.841,498,154,508.71,370,575,664.811,368,508,501.98
股东权益平衡项目0000
股东权益合计10,483,535,675.5510,129,058,594.779,918,818,734.319,696,628,983.75
负债和股东权益合计20,867,027,255.1820,614,304,009.1119,726,568,991.8319,656,761,253.82
公告日期2025-04-302025-04-252024-10-292024-08-30
审计意见(境内)标准无保留意见
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