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华建集团

(600629)

  

流通市值:191.58亿  总市值:195.04亿
流通股本:9.53亿   总股本:9.70亿

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2,613,659,917.192,039,180,344.361,919,306,740.672,010,722,613.26
  应收票据及应收账款2,975,611,148.173,127,982,316.263,063,694,652.682,875,339,239.63
  其中:应收票据45,251,130.5635,396,171.8641,601,470.6261,273,973.15
        应收账款2,930,360,017.613,092,586,144.43,022,093,182.062,814,065,266.48
  预付款项1,631,525.771,557,052.542,155,732.438,585,164.91
  其他应收款合计97,536,324.19125,213,637.89120,628,645.15102,342,957.74
  存货3,371,225,131.813,577,908,479.753,546,420,290.393,533,720,271.77
  合同资产1,965,371,874.032,007,510,243.052,003,468,487.911,939,914,811.69
  其他流动资产77,496,24370,122,590.2764,142,236.6571,978,460.73
  流动资产合计11,102,532,164.1610,949,474,664.1210,719,816,785.8810,542,603,519.73
非流动资产:
  其他债权投资924,545,680.55889,391,333.32834,468,930.57829,608,013.87
  长期股权投资471,431,892.39468,261,665.79477,007,253.24471,879,789.21
  其他权益工具投资1,808,0001,808,0001,808,0001,808,000
  其他非流动金融资产534,440,667.87539,398,541.17538,581,499.96542,448,378.65
  投资性房地产137,226,964.76129,817,394.69131,127,311.99145,472,473.5
  固定资产812,460,917.85798,564,713.49811,173,327.27816,725,122.22
  在建工程8,825,999.7722,101,445.3420,263,575.2547,957,160.46
  使用权资产643,551,890.06713,045,658.46747,261,958.72806,603,455.06
  无形资产51,195,004.4136,001,769.5634,017,827.3339,905,291.67
  商誉24,773,193.5524,773,193.5524,773,193.5524,773,193.55
  长期待摊费用251,281,447.68270,916,456.48284,887,494.74274,493,013.04
  递延所得税资产309,649,563.46266,749,259.44273,323,945.5257,650,643.06
  其他非流动资产16,175,544.0918,115,443.7718,115,443.7718,115,443.77
  非流动资产合计4,187,366,766.444,178,944,875.064,196,809,761.894,277,439,978.06
  资产总计15,289,898,930.615,128,419,539.1814,916,626,547.7714,820,043,497.79
流动负债:
  短期借款283,008,399.65258,963,295.96222,032,656.46281,651,245.52
  应付票据及应付账款6,687,626,847.56,666,488,538.616,502,105,402.766,185,129,667.36
        应付账款6,687,626,847.56,666,488,538.616,502,105,402.766,185,129,667.36
  合同负债998,740,760.8945,424,141.15986,548,387.891,059,921,382
  应付职工薪酬356,007,090.86144,799,489.1145,128,043.18147,135,942.73
  应交税费154,316,068.89138,238,387.78146,059,567.22153,108,843.16
  其他应付款合计335,144,961.49390,072,181.95309,890,200.57314,579,351.73
        应付股利17,073,555.713,515,268.824,594,391.374,594,391.37
  一年内到期的非流动负债126,719,518.9142,090,991.34145,933,214145,502,022.23
  其他流动负债99,876,950.3374,003,588.0473,314,827.9174,859,825.14
  流动负债合计9,041,440,598.428,760,080,613.938,531,012,299.998,361,888,279.87
非流动负债:
  租赁负债629,174,942.91692,393,293.4731,213,713.96780,326,879.88
  预计负债1,000,000---
  递延收益32,904,190.1837,352,231.9940,748,278.8743,406,612.11
  递延所得税负债34,718,162.2339,349,372.2237,263,521.736,870,463.75
  非流动负债合计697,797,295.32769,094,897.61809,225,514.53860,603,955.74
  负债合计9,739,237,893.749,529,175,511.549,340,237,814.529,222,492,235.61
所有者权益(或股东权益):
  实收资本(或股本)193,823,529193,823,529193,823,529193,823,529
  资本公积2,421,117,818.52,413,021,343.662,411,468,400.982,387,542,903.3
  其他综合收益-1,448,101.64-2,241,416.65-2,241,616.61-2,239,504.5
  专项储备38,838,267.01--5,793,642.84
  盈余公积88,461,630.0288,461,630.0288,461,630.0288,461,630.02
  未分配利润2,525,281,753.442,611,391,255.782,590,698,877.822,632,221,658.22
  归属于母公司股东权益合计5,266,074,896.335,304,456,341.815,282,210,821.215,305,603,858.88
  少数股东权益284,586,140.53294,787,685.83294,177,912.04291,947,403.3
  股东权益合计5,550,661,036.865,599,244,027.645,576,388,733.255,597,551,262.18
  负债和股东权益合计15,289,898,930.615,128,419,539.1814,916,626,547.7714,820,043,497.79
公告日期2026-04-032025-10-302025-08-302025-04-30
审计意见(境内)标准无保留意见
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