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精工钢构

(600496)

  

流通市值:55.96亿  总市值:55.96亿
流通股本:20.13亿   总股本:20.13亿

资产负债表

报告期2023-12-312023-09-302023-06-302023-03-31
公司类型通用通用通用通用
流动资产:
货币资金4,578,249,320.983,375,772,970.773,852,788,325.953,574,173,045.38
应收票据及应收账款3,449,320,779.522,990,180,601.742,759,506,173.872,622,431,346.45
其中:应收票据211,248,626.08177,673,612.48139,420,147.97150,182,987.58
应收账款3,238,072,153.442,812,506,989.262,620,086,025.92,472,248,358.87
应收款项融资71,930,208.5857,633,487.8176,995,955.86185,580,065.3
预付款项423,049,556.81710,523,266.61751,286,392.41734,220,019.17
其他应收款合计288,470,596.3359,630,861.78305,217,277.33310,077,937.71
应收股利2,842,0002,352,0002,352,0002,352,000
存货1,431,106,085.921,661,374,444.131,604,796,603.691,412,429,056.14
合同资产8,300,716,685.357,565,106,436.697,466,271,6337,095,481,585.2
其他流动资产134,162,376.33176,728,805.26178,971,435.39149,794,429.16
流动资产平衡项目0000
流动资产合计18,677,005,609.7916,896,950,874.7917,017,833,797.516,104,187,484.51
非流动资产:
债权投资42,694,792.1242,694,792.1242,694,792.1242,694,792.12
长期应收款637,180,662769,184,493.27760,179,170.05757,057,947.61
长期股权投资971,402,232.78971,037,446.26975,968,991.81989,752,704.63
其他权益工具投资368,631,438.17415,646,411.99361,285,348.51416,946,104.78
其他非流动金融资产5,000,0005,000,0005,000,0005,000,000
投资性房地产25,285,156.1326,291,115.5627,297,074.9928,303,034.42
固定资产1,560,105,045.321,257,509,495.241,255,950,006.791,168,389,393.95
在建工程16,105,617.24347,264,995.94326,446,559.22364,911,553.39
使用权资产46,020,918.9536,056,779.8436,554,113.7237,051,447.6
无形资产363,236,758.98332,849,426.87338,249,777.85342,315,261.74
商誉315,312,029.9315,312,029.9315,312,029.9315,312,029.9
长期待摊费用30,702,492.6129,915,653.9329,950,132.0530,285,195.17
递延所得税资产185,520,186.26158,208,338.55155,515,174.93156,048,980.59
其他非流动资产83,028,153.5682,494,565.3779,062,001.9298,215,774.87
非流动资产平衡项目0000
非流动资产合计4,650,225,484.024,789,465,544.844,709,465,173.864,752,284,220.77
资产平衡项目0000
资产总计23,327,231,093.8121,686,416,419.6321,727,298,971.3620,856,471,705.28
流动负债:
短期借款1,225,664,977.821,243,960,713.481,261,608,155.831,159,191,644.51
交易性金融负债1,233,408.98---
应付票据及应付账款8,856,984,062.887,224,369,067.157,513,793,779.876,498,196,089.69
其中:应付票据3,383,780,147.242,657,582,617.273,001,513,320.32,633,496,714.73
应付账款5,473,203,915.644,566,786,449.884,512,280,459.573,864,699,374.96
预收款项-500,000500,000500,000
合同负债1,396,979,929.471,569,168,007.91,519,288,600.021,732,614,957.62
应付职工薪酬150,205,202.19114,244,492.57105,419,024.3196,260,979.05
应交税费215,486,08090,393,140.5476,526,845.8163,518,836.38
其他应付款合计261,683,619.35286,309,318.19277,657,493.18280,825,203.55
一年内到期的非流动负债296,849,991.35343,617,858.45321,105,341.01305,841,666.67
其他流动负债66,624,988.98---
流动负债平衡项目0000
流动负债合计12,471,712,261.0210,872,562,598.2811,075,899,240.0310,136,949,377.47
非流动负债:
长期借款254,430,696.01211,744,903.82231,759,412.9259,839,020.13
应付债券1,944,714,880.891,926,642,496.541,908,567,440.691,890,434,991.78
租赁负债43,595,463.7543,062,037.7742,528,611.7941,995,185.81
预计负债13,210,200.5812,053,922.686,502,405.576,612,287.1
递延收益48,431,699.9647,859,70048,221,20048,582,700
递延所得税负债6,087,874.1813,140,120.254,985,960.7313,335,074.17
其他非流动负债--50,000,000198,750,000
非流动负债平衡项目0000
非流动负债合计2,310,470,815.372,254,503,181.062,292,565,031.682,459,549,258.99
负债平衡项目0000
负债合计14,782,183,076.3913,127,065,779.3413,368,464,271.7112,596,498,636.46
所有者权益(或股东权益):
实收资本(或股本)2,012,884,4182,012,883,6062,012,883,4032,012,882,195
其他权益工具164,096,248.49164,096,576.69164,096,658.74164,097,151.04
资本公积1,717,087,730.121,692,333,018.761,691,920,552.111,691,915,541.96
减:库存股99,999,606.8199,999,606.8199,999,606.8199,999,606.81
其他综合收益12,079,685.5350,423,827.27-149,551.2846,334,892.94
盈余公积276,372,291.18243,138,672.78243,138,672.78243,138,672.78
未分配利润4,429,430,910.384,453,406,326.494,308,728,628.34,169,629,137.6
归属于母公司股东权益平衡项目0000
归属于母公司股东权益合计8,511,951,676.898,516,282,421.188,320,618,756.848,227,997,984.51
少数股东权益33,096,340.5343,068,219.1138,215,942.8131,975,084.31
股东权益平衡项目0000
股东权益合计8,545,048,017.428,559,350,640.298,358,834,699.658,259,973,068.82
负债和股东权益合计23,327,231,093.8121,686,416,419.6321,727,298,971.3620,856,471,705.28
公告日期2024-04-182023-10-282023-08-262023-04-28
审计意见(境内)标准无保留意见
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