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江淮汽车

(600418)

  

流通市值:1051.82亿  总市值:1051.82亿
流通股本:21.84亿   总股本:21.84亿

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12,006,362,380.0511,077,874,288.5512,002,843,09413,255,671,486.27
  交易性金融资产2,243,177,098.62,353,310,186.284,237,979,753.434,660,827,791.52
  应收票据及应收账款5,346,618,666.324,133,641,534.044,060,584,289.913,104,636,857.07
        应收账款5,346,618,666.324,133,641,534.044,060,584,289.913,104,636,857.07
  应收款项融资220,686,601.93737,318,368.41417,899,464.9406,431,077.82
  预付款项300,611,655.02376,394,722.51427,704,632.2406,408,073.86
  其他应收款合计314,802,004.73314,981,895.29643,663,111.87635,057,155.69
        应收股利4,627,478.9160,575.24152,800,0007,908,794.02
  存货3,998,067,4764,005,975,452.443,622,502,446.363,579,269,414.29
  合同资产116,157,631.22117,406,040.62155,785,742.1188,182,077.43
  一年内到期的非流动资产36,316,709.7136,316,709.7134,185,429.435,942,109.37
  其他流动资产1,182,117,593.121,267,858,220.981,210,690,098.21,415,264,913.38
  流动资产合计25,839,852,856.524,496,012,458.6326,817,808,029.8727,691,660,924.2
非流动资产:
  长期应收款154,458,084.89155,189,280.86159,198,187.16157,438,881.73
  长期股权投资5,565,512,346.255,455,061,708.275,548,107,652.045,814,397,043.82
  其他权益工具投资97,967,894.1297,995,366.5989,802,375.8690,342,974.63
  投资性房地产94,268,129.5794,748,690.5195,973,224.1897,106,249.12
  固定资产8,937,301,494.949,140,506,945.869,071,487,060.039,290,548,139.12
  在建工程438,096,911.15360,172,253385,921,634.51294,480,245.69
  使用权资产1,090,620,640.041,120,430,874.121,124,706,401.231,151,293,393.65
  无形资产3,757,717,807.733,944,435,229.791,796,076,056.271,834,161,527.33
  开发支出1,141,035,616.6807,222,413.592,171,416,248.681,619,255,767.33
  长期待摊费用13,011,218.9915,146,972.9712,278,074.0315,861,252.43
  递延所得税资产1,018,747,001.311,019,817,426.371,003,579,601.041,008,752,634.38
  其他非流动资产24,160,045.9216,268,008.2917,764,954.3816,015,868
  非流动资产合计22,332,897,191.5122,226,995,170.2221,476,311,469.4121,389,653,977.23
  资产总计48,172,750,048.0146,723,007,628.8548,294,119,499.2849,081,314,901.43
流动负债:
  短期借款173,243,394.47150,104,166.66161,940,689.22112,469,559.56
  应付票据及应付账款22,808,234,689.9521,127,284,929.3521,297,788,716.3921,548,983,386.81
  其中:应付票据11,325,352,297.678,955,424,604.4310,132,941,255.0511,864,603,299.75
        应付账款11,482,882,392.2812,171,860,324.9211,164,847,461.349,684,380,087.06
  合同负债1,039,335,005.5753,922,634.97927,647,864.341,104,747,152.95
  应付职工薪酬620,905,911.91533,965,131.88550,355,651.11605,287,216.95
  应交税费217,495,106.18107,804,868.07223,998,866.8126,010,750.62
  其他应付款合计2,931,996,885.422,869,872,888.253,046,186,838.52,912,566,316.2
        应付股利12,856,17912,856,17912,856,179-
  一年内到期的非流动负债3,963,003,313.634,339,383,119.413,392,845,913.93,475,040,922.58
  其他流动负债412,872,911.04398,321,712.35421,720,533.1451,828,436.44
  流动负债合计32,167,087,218.130,280,659,450.9430,022,485,073.3630,336,933,742.11
非流动负债:
  长期借款2,612,000,0002,313,000,0003,437,000,0003,677,000,000
  租赁负债1,009,912,351.161,039,584,867.351,039,384,682.481,055,194,011.96
  递延收益1,519,060,589.961,527,696,355.461,557,046,706.71,582,020,058.36
  递延所得税负债1,055,318.41,078,394.271,058,070.231,017,386.61
  非流动负债合计5,142,028,259.524,881,359,617.086,034,489,459.416,315,231,456.93
  负债合计37,309,115,477.6235,162,019,068.0236,056,974,532.7736,652,165,199.04
所有者权益(或股东权益):
  实收资本(或股本)2,184,009,7912,184,009,7912,184,009,7912,184,009,791
  资本公积6,363,289,798.56,363,035,197.36,362,819,015.966,362,453,928.48
  其他综合收益-5,412,996.83-5,181,119.545,746,782.28-3,311,532.12
  专项储备135,542,955134,535,250.06135,633,798.34130,335,665.5
  盈余公积1,672,973,383.441,672,973,383.441,672,973,383.441,672,973,383.44
  一般风险准备33,349,186.6733,349,186.6733,349,186.6733,349,186.67
  未分配利润-454,490,129.76206,909,633.44756,718,417.29979,721,358.96
  归属于母公司股东权益合计9,929,261,988.0210,589,631,322.4111,191,250,374.9811,359,531,781.93
  少数股东权益934,372,582.37971,357,238.421,045,894,591.531,069,617,920.46
  股东权益合计10,863,634,570.3911,560,988,560.8312,237,144,966.5112,429,149,702.39
  负债和股东权益合计48,172,750,048.0146,723,007,628.8548,294,119,499.2849,081,314,901.43
公告日期2025-10-312025-08-262025-04-302025-03-29
审计意见(境内)标准无保留意见
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