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杭萧钢构

(600477)

  

流通市值:65.86亿  总市值:65.86亿
流通股本:23.69亿   总股本:23.69亿

资产负债表

报告期2025-06-302025-03-312024-12-312024-09-30
公司类型通用通用通用通用
流动资产:
  货币资金454,495,740.32552,245,239.47446,795,531.82539,979,357.5
  交易性金融资产-365,948.25365,948.25-
  应收票据及应收账款2,793,670,611.172,915,648,334.923,373,856,199.42,762,580,380.09
  其中:应收票据51,781,881.6472,038,017.9776,448,882.4219,438,642.6
        应收账款2,741,888,729.532,843,610,316.953,297,407,316.982,743,141,737.49
  应收款项融资7,335,866.087,731,803.1620,425,959.233,184,891.02
  预付款项123,239,082.63140,178,346.6110,568,405.72142,680,926
  其他应收款合计162,332,492.8142,376,491.08131,790,651.2969,896,494.26
  存货662,372,044.12638,031,976.36640,861,491.86623,480,978.57
  合同资产5,715,874,771.045,523,073,502.435,787,155,535.815,782,360,393.87
  其他流动资产153,045,230.57231,305,999.11219,686,112.94304,543,229.56
  流动资产合计10,072,365,838.7310,150,957,641.3810,732,461,290.210,237,598,726.73
非流动资产:
  长期应收款---12,266,146.82
  长期股权投资39,311,082.0431,253,350.831,270,605.2437,312,841.21
  其他权益工具投资511,605,538.08507,015,538.08511,605,538.08596,520,326.2
  投资性房地产35,379,867.2845,577,411.3846,291,063.5247,701,499.71
  固定资产2,930,594,943.562,959,493,528.682,988,588,950.322,286,932,396.97
  在建工程529,439,013.77339,187,931.49510,998,404.521,203,243,566.91
  使用权资产8,074,251.238,195,487.5110,421,790.69,941,404.07
  无形资产772,052,400.08761,389,717.19768,255,591.56780,017,740.7
  开发支出14,293,119.9221,477,516.2318,837,957.9620,779,603.97
  长期待摊费用21,590,536.5521,356,009.5821,988,058.8619,068,840.36
  递延所得税资产490,633,565.09607,948,760.68477,847,652.73435,660,783.22
  其他非流动资产397,193,265.88384,244,764.58420,700,771.92343,539,040.73
  非流动资产平衡项目000-0.01
  非流动资产合计5,750,167,583.485,687,140,016.25,806,806,385.315,792,984,190.86
  资产总计15,822,533,422.2115,838,097,657.5816,539,267,675.5116,030,582,917.59
流动负债:
  短期借款3,860,263,653.963,524,838,020.63,979,014,531.753,547,752,090.9
  应付票据及应付账款3,441,808,295.793,776,940,898.54,077,631,868.083,962,418,194.65
  其中:应付票据216,239,644.47440,592,750.38177,054,290.67342,910,849.41
        应付账款3,225,568,651.323,336,348,148.123,900,577,577.413,619,507,345.24
  预收款项-1,224,552.831,034,036.79-
  合同负债388,541,083.34395,196,947.28305,530,344.93289,763,170.69
  应付职工薪酬137,474,434.6128,344,911.34173,382,632.29130,862,045.66
  应交税费65,945,686.64113,577,975.34136,012,440.27126,934,837.55
  其他应付款合计195,673,631.4172,418,792.54135,870,733.24189,065,833.77
  其中:应付利息63,333.33416,876.94-120,805.56
        应付股利118,653,895.2618,485,133.6911,628,755.9784,999,028.95
  一年内到期的非流动负债323,541,757.02294,163,626.64288,755,278.98206,277,901.74
  其他流动负债406,417,391.65442,940,493.81434,423,941.72390,324,546.26
  流动负债合计8,819,665,934.48,849,646,218.889,531,655,808.058,843,398,621.22
非流动负债:
  长期借款1,300,981,005.171,306,667,802.831,333,419,766.181,399,523,553.96
  租赁负债8,876,617.610,494,319.5910,002,872.314,996,133.33
  预计负债889,244.58889,244.58889,244.58-
  递延收益212,323,851.92185,519,219.2206,691,647.82200,891,128.34
  递延所得税负债10,961,507.727,880,240.638,745,287.829,515,725.83
  其他非流动负债20,254,923.221,119,705.5422,068,565.273,177,712.36
  非流动负债合计1,554,287,150.191,532,570,532.371,581,817,383.981,618,104,253.82
  负债合计10,373,953,084.5910,382,216,751.2511,113,473,192.0310,461,502,875.04
所有者权益(或股东权益):
  实收资本(或股本)2,368,966,1502,368,966,1502,368,966,1502,368,966,150
  资本公积744,070,235.14741,910,486.07741,534,997.6745,981,089.01
  减:库存股36,482,462.4536,482,462.4536,482,462.4536,482,462.45
  其他综合收益-270,838,904.16-274,245,738.46-270,267,454.25-185,309,410.04
  专项储备9,055,251.669,416,754.1110,055,802.4318,399,559.14
  盈余公积520,603,435.02520,603,435.02520,603,435.02486,687,039.09
  未分配利润1,786,778,865.871,790,628,143.551,741,321,254.631,810,305,050.85
  归属于母公司股东权益平衡项目-0.0100-0.01
  归属于母公司股东权益合计5,122,152,571.075,120,796,767.845,075,731,722.985,208,547,015.59
  少数股东权益326,427,766.55335,084,138.49350,062,760.5360,533,026.96
  股东权益合计5,448,580,337.625,455,880,906.335,425,794,483.485,569,080,042.55
  负债和股东权益合计15,822,533,422.2115,838,097,657.5816,539,267,675.5116,030,582,917.59
公告日期2025-08-262025-04-302025-04-182024-10-31
审计意见(境内)标准无保留意见
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