当前位置:首页 - 行情中心 - 航天动力(600343) - 财务分析 - 资产负债表

航天动力

(600343)

  

流通市值:200.46亿  总市值:200.46亿
流通股本:6.38亿   总股本:6.38亿

资产负债表

报告期2025-12-312025-09-302025-06-302025-03-31
公司类型通用通用通用通用
流动资产:
  货币资金473,979,037.29123,317,133.09131,693,801.67152,006,638.57
  应收票据及应收账款715,362,785.63699,886,254.98656,002,565.82648,852,425.07
  其中:应收票据76,893,965.3960,730,679.7846,182,359.0253,951,489.19
        应收账款638,468,820.24639,155,575.2609,820,206.8594,900,935.88
  应收款项融资22,720,429.9613,104,050.4329,828,837.0137,082,489.86
  预付款项44,440,965.4667,847,557.0873,805,823.0181,313,389.42
  其他应收款合计7,762,843.379,739,168.138,565,988.368,969,942.04
  存货447,784,722.98532,307,974.66520,216,811.98524,597,775.85
  其他流动资产81,394,950.8183,097,457.9684,931,954.0186,863,430.36
  流动资产合计1,793,445,735.51,529,299,596.331,505,045,781.861,539,686,091.17
非流动资产:
  长期股权投资376,633,501.19395,997,030.49396,192,189.2396,117,631.78
  投资性房地产10,555,085.2510,726,369.8610,897,654.4711,068,939.08
  固定资产652,378,996.83646,411,839.24654,255,652.71654,743,708.01
  在建工程125,632,665.12119,087,391.02118,483,938.21118,847,267.32
  无形资产95,700,305.898,067,215.81100,370,194103,034,373.21
  开发支出12,923,188.0917,587,862.6814,027,368.629,263,385.4
  长期待摊费用7,894,634.836,553,973.175,468,995.65,683,612.33
  递延所得税资产46,339,314.0161,612,616.0760,746,751.2460,579,963.71
  其他非流动资产237,623.76---
  非流动资产合计1,328,295,314.881,356,044,298.341,360,442,744.051,359,338,880.84
  资产总计3,121,741,050.382,885,343,894.672,865,488,525.912,899,024,972.01
流动负债:
  短期借款252,300,000294,760,000274,743,782.06257,460,000
  应付票据及应付账款568,667,635.41523,445,295.87523,383,866.86534,994,112.62
  其中:应付票据33,594,596.7436,776,186.6349,092,360.2966,528,930.92
        应付账款535,073,038.67486,669,109.24474,291,506.57468,465,181.7
  预收款项15,000,00015,000,00015,000,00015,000,000
  合同负债80,156,841.5481,224,274.3767,359,750.8557,902,939.76
  应付职工薪酬26,395,491.2720,205,533.3521,009,550.9719,913,123.13
  应交税费12,421,683.936,324,302.996,598,961.516,235,909.46
  其他应付款合计59,496,733.1260,733,290.3258,678,504.9853,038,627.04
  一年内到期的非流动负债50,000,000---
  其他流动负债197,309,117.3184,713,056.76178,822,077.81182,023,368.83
  流动负债合计1,261,747,502.571,186,405,753.661,145,596,495.041,126,568,080.84
非流动负债:
  长期借款140,000,000190,000,000190,000,000190,000,000
  长期应付职工薪酬88,088,587.8688,430,077.2785,529,916.487,664,723.04
  预计负债45,933,774.8341,519,986.1828,796,022.3123,831,524.71
  递延收益10,185,833.337,212,5007,282,5005,915,833.34
  非流动负债合计284,208,196.02327,162,563.45311,608,438.71307,412,081.09
  负债合计1,545,955,698.591,513,568,317.111,457,204,933.751,433,980,161.93
所有者权益(或股东权益):
  实收资本(或股本)638,206,348638,206,348638,206,348638,206,348
  资本公积1,232,707,701.281,211,283,571.561,211,283,571.561,211,283,571.56
  其他综合收益-15,600,500-15,600,500-15,600,500-15,600,500
  专项储备20,553,190.1719,998,482.8419,790,290.718,863,511.07
  盈余公积44,775,464.0244,775,464.0244,775,464.0244,775,464.02
  未分配利润-625,778,326.99-542,450,441.33-506,322,205.88-459,371,570.66
  归属于母公司股东权益合计1,294,863,876.481,356,212,925.091,392,132,968.41,438,156,823.99
  少数股东权益280,921,475.3115,562,652.4716,150,623.7626,887,986.09
  股东权益合计1,575,785,351.791,371,775,577.561,408,283,592.161,465,044,810.08
  负债和股东权益合计3,121,741,050.382,885,343,894.672,865,488,525.912,899,024,972.01
公告日期2026-03-312025-10-312025-08-222025-04-29
审计意见(境内)标准无保留意见
TOP↑