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广晟有色

(600259)

  

流通市值:175.18亿  总市值:175.18亿
流通股本:3.36亿   总股本:3.36亿

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1,105,426,622.61625,455,374.01739,142,350.04717,597,824.62
  应收票据及应收账款315,114,479.94134,457,504.43177,309,029.26108,538,013.25
  其中:应收票据879,679.860749,568.59200,000
        应收账款314,234,800.08134,457,504.43176,559,460.67108,338,013.25
  应收款项融资353,589,624.25337,805,329.54328,965,013.85712,262,576.55
  预付款项29,375,757.0147,458,977.8166,614,914.8215,371,042.48
  其他应收款合计122,090,933.15124,918,691.76128,375,314.52126,747,957.82
  存货2,138,459,015.012,406,296,528.022,246,020,803.681,709,475,380.84
  其他流动资产107,886,138.03146,726,867.9142,490,077.26107,312,854.08
  流动资产合计4,171,942,5703,823,119,273.473,828,917,503.433,497,305,649.64
非流动资产:
  长期股权投资1,125,269,966.691,113,633,874.951,056,667,477.62998,546,625.36
  其他权益工具投资37,976,125.9643,393,678.3643,393,678.3643,393,678.36
  投资性房地产39,861,834.3242,731,264.0642,578,950.443,944,641.96
  固定资产1,084,066,811.411,107,395,925.241,119,359,819.091,110,020,933.03
  在建工程313,687,423.27321,912,296.96282,032,706.64287,529,673.25
  使用权资产7,403,243.3610,776,230.313,627,944.8815,201,435.65
  无形资产843,576,684.69856,408,739.56873,999,804.48885,202,413.65
  长期待摊费用102,634,277.14106,647,225.89111,488,714.16112,671,297.65
  递延所得税资产85,004,354.5987,427,574.8594,340,559.8394,379,348.77
  其他非流动资产303,393,890.54308,225,703.73320,152,713.92341,799,873.92
  非流动资产合计3,942,874,611.973,998,552,513.93,957,642,369.383,932,689,921.6
  资产总计8,114,817,181.977,821,671,787.377,786,559,872.817,429,995,571.24
流动负债:
  短期借款1,186,584,497.21,065,181,863.041,229,052,421.99601,362,873.34
  应付票据及应付账款1,106,377,952.291,056,247,320.51907,100,599.05819,871,989.86
  其中:应付票据160,793,558.95738,780,284.12648,741,939.8504,588,170.14
        应付账款945,584,393.34317,467,036.39258,358,659.25315,283,819.72
  合同负债57,632,105.4846,060,510.14118,173,825.9827,286,602.13
  应付职工薪酬29,829,944.525,450,334.9922,492,835.8721,595,070.6
  应交税费15,619,627.867,813,553.2917,977,325.6446,109,008.4
  其他应付款合计162,916,527.89153,952,909.36141,597,633.61146,007,175.45
        应付股利374,970.07374,970.07374,239374,970.07
  一年内到期的非流动负债479,759,419.34759,364,846.79580,782,101.65578,730,171.75
  其他流动负债405,542,934.86,060,505.3811,853,151.84406,966,173.74
  流动负债合计3,444,263,009.363,120,131,843.53,029,029,895.632,647,929,065.27
非流动负债:
  长期借款170,912,044.47250,198,444.47273,865,555.58347,265,555.58
  应付债券399,884,722.95399,917,026.59399,900,874.87399,900,874.77
  租赁负债8,500,803.88,332,260.757,442,214.389,450,432.02
  长期应付款304,181,500304,181,500356,181,500356,181,500
  长期应付职工薪酬681,240.821,341,174.96958,932.291,447,160.46
  预计负债1,113,138.171,113,138.171,074,722.971,074,722.97
  递延收益33,630,870.934,517,170.3334,161,573.5524,685,381.47
  递延所得税负债4,452,820.34,238,170.446,544,479.414,815,296.68
  非流动负债合计923,357,141.411,003,838,885.711,080,129,853.051,144,820,923.95
  负债合计4,367,620,150.774,123,970,729.214,109,159,748.683,792,749,989.22
所有者权益(或股东权益):
  实收资本(或股本)336,435,910336,435,910336,435,910336,435,910
  资本公积3,399,061,966.413,399,061,966.413,399,061,966.413,399,061,966.41
  减:库存股-0--
  其他综合收益-14,371,834.57-14,371,834.57-14,371,834.57-14,371,834.57
  专项储备31,805,295.4530,042,988.4226,574,116.7724,918,758.1
  盈余公积21,470,180.7321,470,180.7321,470,180.7321,470,180.73
  未分配利润-279,899,781.81-334,961,718.21-360,189,181.18-407,460,401.6
  归属于母公司股东权益合计3,494,501,736.213,437,677,492.783,408,981,158.163,360,054,579.07
  少数股东权益252,695,294.99260,023,565.38268,418,965.97277,191,002.95
  股东权益合计3,747,197,031.23,697,701,058.163,677,400,124.133,637,245,582.02
  负债和股东权益合计8,114,817,181.977,821,671,787.377,786,559,872.817,429,995,571.24
公告日期2025-10-312025-08-302025-04-302025-03-29
审计意见(境内)标准无保留意见
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