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宇通客车

(600066)

  

流通市值:649.79亿  总市值:649.79亿
流通股本:22.14亿   总股本:22.14亿

资产负债表

报告期2025-06-302025-03-312024-12-312024-09-30
公司类型通用通用通用通用
流动资产:
  货币资金5,207,271,441.716,633,827,097.848,667,063,566.994,905,491,257.62
  交易性金融资产4,714,747,417.544,616,273,501.91860,097,235.124,187,825,607.92
  应收票据及应收账款3,784,741,737.242,698,190,499.624,544,908,744.263,652,824,174.25
  其中:应收票据224,839,342.09314,881,495.06308,370,614.8218,313,048.49
        应收账款3,559,902,395.152,383,309,004.564,236,538,129.463,434,511,125.76
  应收款项融资171,423,962.1249,282,087.32260,420,561.18495,322,772.38
  预付款项584,342,139.73755,652,443.53635,143,330.63689,151,775.06
  其他应收款合计712,875,425.79723,916,075.7748,138,935.38740,350,947.2
  存货3,162,183,025.143,019,965,070.753,513,063,171.124,054,326,757.6
  合同资产66,389,081.4193,468,497.85109,597,933.97126,847,958.27
  一年内到期的非流动资产639,839,602.61316,829,172.32534,166,404.75525,035,729.42
  其他流动资产369,090,337.99695,529,630.061,158,507,625.79240,359,567.97
  流动资产合计19,412,904,171.2619,802,934,076.921,031,107,509.1919,617,536,547.69
非流动资产:
  债权投资544,665,250.09541,604,111.19338,650,500.06137,531,813.3
  长期应收款105,986,070.7374,434,574.3393,883,320.894,126,331.25
  长期股权投资714,444,598.84667,793,423.67667,793,423.67674,537,550.24
  其他权益工具投资950,946,207.091,064,792,630.811,135,307,890.811,377,934,206.13
  其他非流动金融资产1,220,409,188.71,231,781,081.051,322,625,379.271,133,387,339.33
  投资性房地产79,167,453.75---
  固定资产3,322,485,849.733,537,297,355.063,617,813,649.043,694,417,111.71
  在建工程316,492,649.05259,911,384.34185,519,066.11146,889,044.27
  使用权资产121,249,089.858,672,798.0363,280,281.1919,959,023.45
  无形资产1,481,923,402.341,493,012,415.921,505,671,424.391,513,827,014.26
  商誉103,203.85103,203.85103,203.85103,203.85
  长期待摊费用9,262,394.266,911,269.746,582,177.292,384,688.09
  递延所得税资产1,712,081,236.651,664,641,497.191,790,076,827.251,675,627,205.72
  其他非流动资产398,516,290.18413,261,924.56392,479,828.85421,777,292.88
  非流动资产合计10,977,732,885.0611,014,217,669.7411,119,786,972.6710,802,501,824.48
  资产总计30,390,637,056.3230,817,151,746.6432,150,894,481.8630,420,038,372.17
流动负债:
  交易性金融负债131,971,126.997,081,205.84-2,464,950.74
  应付票据及应付账款5,343,386,883.235,437,686,344.856,992,491,338.316,884,494,297.66
  其中:应付票据707,085,841.821,375,006,265.031,511,440,190.091,918,728,637.7
        应付账款4,636,301,041.414,062,680,079.825,481,051,148.224,965,765,659.96
  预收款项833,043.74429,786.811,144,007.744,003,414.28
  合同负债1,831,325,562.191,965,721,797.271,607,436,352.012,599,718,529.77
  应付职工薪酬1,397,072,530.811,302,711,445.831,492,178,254.161,388,950,572.34
  应交税费560,613,945.54648,820,558.91,125,570,364.6364,563,388.58
  其他应付款合计2,846,561,901.972,511,746,811.852,977,016,450.722,170,701,222.66
        应付股利13,972,700.3---
  一年内到期的非流动负债28,002,047.8615,891,867.2619,813,979.424,164,034.72
  其他流动负债240,868,401.55246,933,818.12273,568,251.54294,278,187.16
  流动负债合计12,380,635,443.8812,137,023,636.7314,489,218,998.513,713,338,597.91
非流动负债:
  租赁负债155,532,161.4441,315,946.6939,755,576.8714,803,933.88
  预计负债3,765,332,902.093,495,411,927.483,322,437,601.652,870,983,640.18
  递延收益574,108,564.83595,190,726.41473,101,718.15467,537,997.81
  递延所得税负债124,897,594.78127,163,559.35168,869,149.61197,506,575.12
  非流动负债合计4,619,871,223.144,259,082,159.934,004,164,046.283,550,832,146.99
  负债合计17,000,506,667.0216,396,105,796.6618,493,383,044.7817,264,170,744.9
所有者权益(或股东权益):
  实收资本(或股本)2,213,939,2232,213,939,2232,213,939,2232,213,939,223
  资本公积1,505,802,389.721,505,802,389.721,505,802,389.721,505,802,389.72
  其他综合收益-208,904,309.07-214,869,901.24-179,759,081.7214,581,252.41
  专项储备6,617,804.045,133,379.455,326,237.935,112,398.11
  盈余公积3,670,158,178.413,670,158,178.413,651,446,023.253,236,247,955.04
  未分配利润5,984,512,258.156,988,374,893.66,227,020,315.736,007,122,509.71
  归属于母公司股东权益合计13,172,125,544.2514,168,538,162.9413,423,775,107.9112,982,805,727.99
  少数股东权益218,004,845.05252,507,787.04233,736,329.17173,061,899.28
  股东权益合计13,390,130,389.314,421,045,949.9813,657,511,437.0813,155,867,627.27
  负债和股东权益合计30,390,637,056.3230,817,151,746.6432,150,894,481.8630,420,038,372.17
公告日期2025-08-262025-04-262025-04-012024-10-29
审计意见(境内)标准无保留意见
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