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兰花科创

(600123)

  

流通市值:99.74亿  总市值:99.74亿
流通股本:14.73亿   总股本:14.73亿

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5,565,908,260.66,738,226,847.575,950,253,963.326,639,874,324.96
  结算备付金0-0-
  拆出资金0-0-
  应收票据及应收账款135,440,681.11153,305,216.2177,268,336.14182,004,757.59
  其中:应收票据2,920,166.411,528,213.464,284,493.461,538,575
        应收账款132,520,514.7151,777,002.74172,983,842.68180,466,182.59
  应收款项融资776,559,640.01683,039,569.01627,014,331.961,077,167,003.44
  预付款项152,263,646.13161,688,561.2984,467,696.76202,797,605.84
  其他应收款合计119,818,233.72186,330,310.92211,888,785.82274,251,333.54
  其中:应收利息0-0-
        应收股利0-0-
  存货900,432,047.46788,976,920.58608,234,175.181,097,435,048.09
  合同资产0-0-
  一年内到期的非流动资产11,321,777.6711,321,777.6715,121,777.673,771,471.65
  其他流动资产167,685,393.37126,418,294.27131,112,510.31111,736,907.92
  流动资产合计7,829,429,680.078,849,307,497.517,805,361,577.169,589,038,453.03
非流动资产:
  长期应收款8,332,653.058,136,950.147,941,732.92-
  长期股权投资1,579,760,429.741,598,205,526.691,598,178,370.271,570,392,013.26
  其他权益工具投资2,293,0002,293,0001,293,0003,243,000
  投资性房地产12,967,449.7513,167,945.7813,368,441.7513,568,937.78
  固定资产13,490,786,514.0113,511,603,550.1713,679,812,400.7413,463,817,186.74
  在建工程1,491,513,307.651,334,779,600.91,263,519,471.741,154,832,590.82
  使用权资产119,742,365.2125,353,220.95130,517,494.49123,826,402.23
  无形资产11,772,679,582.615,001,436,777.055,048,798,373.415,077,071,134.22
  长期待摊费用17,551,776.8319,116,553.0622,258,159.2722,901,772.58
  递延所得税资产224,764,734.72227,924,687.99241,617,613.99262,175,696.15
  其他非流动资产63,756,857.4742,585,319.644,878,963.7442,025,932.33
  非流动资产合计28,784,148,671.0321,884,603,132.3322,052,184,022.3221,733,854,666.11
  资产总计36,613,578,351.130,733,910,629.8429,857,545,599.4831,322,893,119.14
流动负债:
  短期借款2,250,000,0002,225,000,0001,726,758,083.342,585,000,000
  应付票据及应付账款3,894,116,520.233,660,481,188.333,646,217,164.032,928,155,692.16
  其中:应付票据795,609,890.49611,196,533.68274,302,401.3334,173,990.25
        应付账款3,098,506,629.743,049,284,654.653,371,914,762.72,893,981,701.91
  合同负债574,989,612.67535,780,933.7549,409,5591,242,083,780.72
  应付职工薪酬306,919,136.78295,207,375.28391,313,836.36499,184,015.58
  应交税费84,568,887.84164,135,221.77184,197,233.46176,614,456.35
  其他应付款合计473,926,589.11478,625,367.77481,897,286.35501,590,223.95
  其中:应付利息000-
        应付股利7,770,0001,470,0001,470,00012,045,000
  一年内到期的非流动负债2,730,259,961.823,613,292,028.332,678,269,214.251,190,680,605.44
  其他流动负债102,702,325.9374,601,695.7170,125,493.57164,446,589.73
  流动负债合计10,417,483,034.3811,047,123,810.899,728,187,870.369,287,755,363.93
非流动负债:
  长期借款7,055,362,523.942,514,236,299.212,493,792,961.212,990,279,637.21
  应付债券2,492,874,156.17499,933,706.35997,173,693.311,994,821,670.98
  租赁负债102,475,143.76102,659,383.97102,190,185.11101,606,079.06
  长期应付款3,818,545.291,299,200.937,096,894.11-
  预计负债549,455,319.31548,859,066.48596,484,966.05647,678,031.31
  递延收益79,086,508.1881,669,466.6184,023,527.4578,869,582.25
  递延所得税负债218,563,922.31199,661,193.83186,542,980.58182,688,813.72
  非流动负债合计10,501,636,118.963,948,318,317.384,467,305,207.825,995,943,814.53
  负债合计20,919,119,153.3414,995,442,128.2714,195,493,078.1815,283,699,178.46
所有者权益(或股东权益):
  实收资本(或股本)1,473,240,0211,473,240,0211,473,240,0211,485,120,000
  资本公积120,867,373.62131,246,875.5135,850,882.96280,367,305.7
  减:库存股---59,985,548.63
  其他综合收益2,370,619.621,020,922.111,671,515.51-
  专项储备1,027,253,333.181,000,122,877.73940,517,867.111,112,982,551.59
  盈余公积2,424,015,313.872,424,015,313.872,424,015,313.872,335,485,689.09
  未分配利润11,046,419,027.9911,022,314,365.7310,988,941,195.3411,075,748,771.74
  归属于母公司股东权益合计16,094,165,689.2816,051,960,375.9415,964,236,795.7916,229,718,769.49
  少数股东权益-399,706,491.52-313,491,874.37-302,184,274.49-190,524,828.81
  股东权益合计15,694,459,197.7615,738,468,501.5715,662,052,521.316,039,193,940.68
  负债和股东权益合计36,613,578,351.130,733,910,629.8429,857,545,599.4831,322,893,119.14
公告日期2025-08-262025-04-292025-04-292024-10-29
审计意见(境内)标准无保留意见
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