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ST太重

(600169)

  

流通市值:87.99亿  总市值:88.36亿
流通股本:33.33亿   总股本:33.47亿

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2,603,446,485.732,171,124,332.272,629,155,153.691,598,525,196.39
  应收票据及应收账款8,257,542,364.928,712,872,132.769,251,848,213.918,443,537,758.8
  其中:应收票据959,684,963.67944,226,365.051,186,705,452.891,335,987,871.53
        应收账款7,297,857,401.257,768,645,767.718,065,142,761.027,107,549,887.27
  应收款项融资177,800,845.04286,859,817.69116,980,900.86129,069,411.25
  预付款项596,916,964.69618,778,842.64618,913,930.08457,734,756.79
  其他应收款合计120,075,426.12111,297,539.94322,988,244.23695,005,439.63
  存货9,441,748,042.619,199,172,194.858,790,815,116.828,718,443,779.85
  合同资产307,198,637.49273,863,425.74329,939,618.64265,362,611.17
  一年内到期的非流动资产-90,957,553.4288,677,747.9588,677,747.95
  其他流动资产203,060,141.36177,419,478.84125,424,291.17189,046,685.77
  流动资产合计21,707,788,907.9621,642,345,318.1522,274,743,217.3520,585,403,387.6
非流动资产:
  长期股权投资29,313,209.629,313,209.629,313,209.629,313,209.6
  其他权益工具投资73,298,928.3972,425,297.0471,855,464.0572,409,170.59
  固定资产3,128,328,781.573,225,199,238.113,287,183,075.383,351,370,941
  在建工程2,695,558,943.872,598,366,803.892,496,639,650.212,327,703,275.82
  使用权资产196,312,479.26232,498,558.36220,474,882.23251,971,293.98
  无形资产1,215,656,915.631,248,388,118.121,290,039,530.531,150,886,410.82
  开发支出611,641,781.84530,886,537.95467,538,005.52608,515,576.23
  长期待摊费用2,595,565.762,635,703.372,675,840.992,715,978.6
  递延所得税资产184,576,782.07184,639,337.14184,701,873.57184,035,646.7
  其他非流动资产2,542,455,395.972,392,725,463.392,399,697,538.962,411,834,705.84
  非流动资产合计10,679,738,783.9610,517,078,266.9710,450,119,071.0410,390,756,209.18
  资产总计32,387,527,691.9232,159,423,585.1232,724,862,288.3930,976,159,596.78
流动负债:
  短期借款2,309,533,286.982,642,914,784.732,996,089,051.233,279,829,157.98
  应付票据及应付账款7,668,516,410.537,774,486,265.428,336,588,114.637,609,512,084.68
  其中:应付票据1,963,459,337.432,073,625,215.812,241,189,254.071,894,733,132.6
        应付账款5,705,057,073.15,700,861,049.616,095,398,860.565,714,778,952.08
  合同负债944,147,483.41979,259,715.82892,807,060.17866,930,603.56
  应付职工薪酬87,308,911.768,664,931.7769,735,401.3588,481,782.01
  应交税费72,546,102.9551,314,522.4976,622,980.2637,173,512.77
  其他应付款合计194,366,358.67223,826,089.38198,680,152.5276,223,401.03
  一年内到期的非流动负债4,531,410,367.844,245,163,011.224,873,634,727.394,267,113,867.65
  其他流动负债293,630,831.87279,931,406.47229,376,372.83211,099,091.24
  流动负债合计16,101,459,753.9516,265,560,727.317,673,533,860.3616,636,363,500.92
非流动负债:
  长期借款9,437,507,641.979,111,890,619.648,266,289,193.337,588,115,475.54
  租赁负债362,577,805.86398,128,268.82431,508,202.76446,405,659.37
  长期应付款281,231,264.56270,231,264.56280,210,665.08271,010,665.08
  递延收益347,835,453.44340,046,793.82343,334,188.13347,885,678.1
  递延所得税负债43,366,428.7643,366,428.7543,114,701.843,114,701.8
  非流动负债合计10,472,518,594.5910,163,663,375.599,364,456,951.18,696,532,179.89
  负债合计26,573,978,348.5426,429,224,102.8927,037,990,811.4625,332,895,680.81
所有者权益(或股东权益):
  实收资本(或股本)3,347,103,1703,361,256,8403,361,256,8403,361,256,840
  资本公积2,092,284,295.272,088,392,783.262,087,295,268.122,086,197,752.98
  减:库存股29,690,816.9755,772,886.8755,772,886.8755,772,886.87
  其他综合收益-18,091,500.41-18,645,256.48-18,493,752.5-17,731,747.24
  专项储备4,937,942.283,146,839.022,316,259.781,424,814.55
  盈余公积271,985,763.88271,985,763.88271,985,763.88271,985,763.88
  未分配利润-574,655,801.2-615,871,034-637,744,424.67-659,719,323.76
  归属于母公司股东权益合计5,093,873,052.855,034,493,048.815,010,843,067.744,987,641,213.54
  少数股东权益719,676,290.53695,706,433.42676,028,409.19655,622,702.43
  股东权益合计5,813,549,343.385,730,199,482.235,686,871,476.935,643,263,915.97
  负债和股东权益合计32,387,527,691.9232,159,423,585.1232,724,862,288.3930,976,159,596.78
公告日期2025-11-012025-08-262025-04-292025-04-29
审计意见(境内)标准无保留意见
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