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XD瀚蓝环

(600323)

  

流通市值:229.52亿  总市值:229.52亿
流通股本:8.15亿   总股本:8.15亿

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3,319,911,476.874,010,776,042.391,982,487,171.14,258,254,435.03
  交易性金融资产--3,969,111,436.06139,279,654.62
  应收票据及应收账款7,817,338,352.617,313,856,635.294,210,767,275.124,256,386,451.07
  其中:应收票据442,234.995,302,096.31,038,111.724,628,346.13
        应收账款7,816,896,117.627,308,554,538.994,209,729,163.44,251,758,104.94
  应收款项融资32,300.55127,440.931,518,336.82,745,970.2
  预付款项273,697,825250,457,098.52206,958,264.25181,191,907.66
  其他应收款合计123,972,376.34122,621,665.6485,760,658.13121,081,614.88
  其中:应收利息-97,037.95--
        应收股利-12,000,000--
  存货327,564,329.4321,185,707.73218,413,614.04225,553,851.64
  合同资产1,175,859,526.381,363,221,792.561,065,043,322.821,039,249,011.16
  其他流动资产826,510,816.14888,865,251.17637,315,420.03719,356,020.56
  流动资产合计13,864,887,003.2914,271,111,634.2312,377,375,498.3510,943,098,916.82
非流动资产:
  长期应收款97,963,583.9894,864,578.9894,864,578.9894,864,578.98
  长期股权投资2,955,765,973.322,784,294,742.681,374,090,740.511,344,193,276.09
  其他权益工具投资36,142,326.3936,142,326.3936,142,326.3936,142,326.39
  其他非流动金融资产-1,022,010.981,084,510.981,084,510.98
  投资性房地产69,797,181.5570,162,565.2670,527,948.9770,893,332.68
  固定资产6,375,709,543.716,443,525,246.945,521,899,817.945,615,908,393.03
  在建工程309,794,063290,242,073.94290,750,788.41274,090,961.37
  使用权资产105,893,052.1595,709,945.7890,491,198.25105,817,255.46
  无形资产26,401,494,205.3326,655,547,365.5112,164,697,331.512,121,380,527.03
  商誉1,392,103,509.471,514,889,773.94413,104,076.2413,104,076.2
  长期待摊费用108,082,435.35112,753,680.9793,715,084.198,160,507.83
  递延所得税资产388,913,369.37375,909,632.71291,004,175.03287,541,417.69
  其他非流动资产10,519,858,504.210,692,027,017.047,750,543,640.377,899,075,127.46
  非流动资产合计48,761,517,747.8249,167,090,961.1228,192,916,217.6328,362,256,291.19
  资产总计62,626,404,751.1163,438,202,595.3540,570,291,715.9839,305,355,208.01
流动负债:
  短期借款2,966,214,759.643,463,638,058.112,431,042,083.312,516,778,858.93
  应付票据及应付账款3,406,681,218.93,521,367,675.852,764,069,046.453,139,408,228.5
        应付账款3,406,681,218.93,521,367,675.852,764,069,046.453,139,408,228.5
  合同负债462,096,274.25441,013,666.7295,478,764.78369,999,057.36
  应付职工薪酬343,042,107.93301,300,763.99183,482,813.39328,487,137.49
  应交税费511,880,930.13439,969,825.71348,979,486.16304,087,856.42
  其他应付款合计1,349,352,351.031,615,753,140.61623,900,607.96781,618,230.93
        应付股利217,327,357.63664,843,286.44--
  一年内到期的非流动负债4,002,588,016.374,496,617,560.853,469,870,018.782,257,489,585.69
  其他流动负债662,765,986.62566,044,591.22606,145,067.89698,719,747.2
  流动负债合计13,704,621,644.8714,845,705,283.0410,722,967,888.7210,396,588,702.52
非流动负债:
  长期借款25,957,263,788.5926,132,234,748.5310,169,742,955.869,963,552,464.94
  应付债券1,515,061,045.611,506,867,371.511,013,327,066.321,529,784,523.28
  租赁负债68,052,087.2565,781,793.1453,917,217.571,106,111.56
  长期应付款58,920,00058,920,00030,000,000-
  长期应付职工薪酬17,478,475.3417,730,625.3417,979,325.3418,447,685.34
  预计负债43,808,071.1443,439,337.5643,076,021.942,731,008.38
  递延收益1,400,310,5651,579,964,909.491,435,725,321.861,450,526,737.86
  递延所得税负债1,739,281,221.531,717,980,111.25623,580,854.21611,749,104.91
  非流动负债合计30,800,175,254.4631,122,918,896.8213,387,348,762.9913,687,897,636.27
  负债合计44,504,796,899.3345,968,624,179.8624,110,316,651.7124,084,486,338.79
所有者权益(或股东权益):
  实收资本(或股本)815,347,146815,347,146815,347,146815,347,146
  资本公积2,439,822,210.962,440,194,208.022,450,785,597.862,450,785,597.86
  其他综合收益34,349,416.235,634,590.6118,577,744.4417,896,798.16
  专项储备115,768,377.05118,353,267.3763,755,136.2360,417,043.22
  盈余公积498,999,996.88498,999,996.88498,999,996.88498,999,996.88
  未分配利润10,307,644,160.659,873,461,099.759,978,939,339.49,558,874,692.68
  归属于母公司股东权益合计14,211,931,307.7413,781,990,308.6313,826,404,960.8113,402,321,274.8
  少数股东权益3,909,676,544.043,687,588,106.862,633,570,103.461,818,547,594.42
  股东权益合计18,121,607,851.7817,469,578,415.4916,459,975,064.2715,220,868,869.22
  负债和股东权益合计62,626,404,751.1163,438,202,595.3540,570,291,715.9839,305,355,208.01
公告日期2025-10-292025-08-272025-04-292025-04-11
审计意见(境内)标准无保留意见
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