当前位置:首页 - 行情中心 - 天士力(600535) - 财务分析 - 资产负债表

天士力

(600535)

  

流通市值:211.24亿  总市值:211.24亿
流通股本:14.94亿   总股本:14.94亿

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1,435,709,539.952,602,634,982.792,791,030,238.222,394,794,977.82
  交易性金融资产1,394,081,573.62886,320,404.871,436,333,591.75535,247,070.83
  应收票据及应收账款1,118,381,337.81,185,791,369.761,139,743,693.18970,949,528.1
        应收账款1,118,381,337.81,185,791,369.761,139,743,693.18970,949,528.1
  应收款项融资1,299,317,656.981,550,862,020.831,119,927,287.541,694,405,427.16
  预付款项57,801,987.4774,426,050.8281,192,662.3376,349,757.61
  其他应收款合计39,960,537.0335,793,689.9120,184,220.1957,843,517.73
  存货1,427,015,360.751,428,786,363.131,555,695,469.181,616,304,954.83
  一年内到期的非流动资产1,404,035,342.41---
  其他流动资产53,700,220.834,887,567.4225,366,524.2922,931,628.39
  流动资产合计8,230,003,556.817,799,502,449.538,169,473,686.687,368,826,862.47
非流动资产:
  长期股权投资1,054,191,944.541,282,585,003.081,284,482,398.741,310,224,490.03
  其他非流动金融资产291,552,964.9186,722,584.44258,699,216.43568,795,902.12
  固定资产3,052,934,462.033,005,699,965.413,067,969,122.23,135,740,122.14
  在建工程322,419,439.04331,710,812.7312,751,887.19285,510,342.49
  使用权资产171,115,767.43164,370,382169,984,481.49167,324,789.24
  无形资产794,390,593.1779,330,091.3562,146,718.55572,734,987.78
  开发支出1,310,750,182.111,283,951,179.381,501,210,140.441,464,349,156.95
  长期待摊费用22,648,296.5122,072,991.3919,087,122.5219,708,460.75
  递延所得税资产67,053,563.0949,184,349.6258,007,657.2957,087,303.61
  其他非流动资产22,658,937.5952,183,756.3344,784,356.2246,444,752.29
  非流动资产合计7,109,716,150.347,157,811,115.657,279,123,101.077,627,920,307.4
  资产总计15,339,719,707.1514,957,313,565.1815,448,596,787.7514,996,747,169.87
流动负债:
  短期借款1,115,672,563.89464,756,194.44794,430,907.22201,726,930.55
  应付票据及应付账款376,896,915.19329,260,568.34590,051,846.021,067,638,187.63
  其中:应付票据46,845,274.4863,027,655.04110,345,716.96669,160,997.76
        应付账款330,051,640.71266,232,913.3479,706,129.06398,477,189.87
  预收款项2,458,008.8464,158,077.0263,757,00063,757,000
  合同负债47,422,745.0752,871,688.9466,499,954.9575,607,294.16
  应付职工薪酬294,665,900.84240,008,603.9556,098,101.3433,580,381.97
  应交税费203,939,770.75138,778,841.4128,017,276.61125,371,933.21
  其他应付款合计209,218,654.37582,199,356.0353,688,029.6531,052,083.72
        应付股利-313,729,501.05--
  一年内到期的非流动负债54,665,144.03166,298,847.63709,073,918.85848,662,686.55
  其他流动负债3,036,831.81872,117.473,323,316.587,925,291.09
  流动负债合计2,307,976,534.792,039,204,295.222,464,940,351.222,455,321,788.88
非流动负债:
  长期借款216,868,059.1178,840,621.37139,570,640.5151,190,484.32
  租赁负债51,192,002.847,131,302.6649,725,365.9651,679,903.62
  递延收益189,945,528.18191,657,293.32193,243,372.71192,188,952.52
  递延所得税负债26,017,034.39398,033.79398,033.79398,033.79
  非流动负债合计484,022,624.47418,027,251.14382,937,412.96395,457,374.25
  负债合计2,791,999,159.262,457,231,546.362,847,877,764.182,850,779,163.13
所有者权益(或股东权益):
  实收资本(或股本)1,493,950,0051,493,950,0051,493,950,0051,493,950,005
  资本公积482,387,023.22472,372,495.89459,432,716.25458,901,715.31
  其他综合收益37,244,216.3868,040,583.7949,897,615.353,401,178.06
  盈余公积1,743,640,001.981,743,640,001.981,743,640,001.981,743,640,001.98
  未分配利润8,647,007,146.378,526,418,431.588,630,471,254.678,170,084,306.77
  归属于母公司股东权益合计12,404,228,392.9512,304,421,518.2412,377,391,593.211,919,977,207.12
  少数股东权益143,492,154.94195,660,500.58223,327,430.37225,990,799.62
  股东权益合计12,547,720,547.8912,500,082,018.8212,600,719,023.5712,145,968,006.74
  负债和股东权益合计15,339,719,707.1514,957,313,565.1815,448,596,787.7514,996,747,169.87
公告日期2026-03-202025-10-252025-08-162025-04-29
审计意见(境内)标准无保留意见
TOP↑