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株冶集团

(600961)

  

流通市值:121.04亿  总市值:172.73亿
流通股本:7.52亿   总股本:10.73亿

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1,188,948,488.11,321,124,796.88975,304,811.37375,422,810.6
  交易性金融资产-3,398,1252,269,720.4212,304,667.64
  应收票据及应收账款416,885,815.28437,714,346.92708,565,195.4623,093,385.03
  其中:应收票据132,943,705.12206,846,263.81418,659,647.02293,125,981.28
        应收账款283,942,110.16230,868,083.11289,905,548.38329,967,403.75
  应收款项融资80,165,090.461,547,741.3140,607,705.2257,945,484.51
  预付款项280,995,746.55468,899,328.9432,331,830.83384,962,807.83
  其他应收款合计212,311,587.15111,833,429.89268,172,444.82249,767,091.22
  存货1,745,159,134.591,782,987,443.561,844,779,512.742,124,576,628.48
  其他流动资产126,577,645.16203,211,943.72234,831,230.15220,993,735.84
  流动资产合计4,051,043,507.294,330,717,156.174,606,862,450.954,049,066,611.15
非流动资产:
  固定资产4,007,034,452.024,070,404,112.874,128,059,309.644,171,848,925.17
  在建工程116,876,590.77104,071,228.24121,287,160.89129,596,709.47
  使用权资产6,117,129.859,707,440.0512,359,934.217,958,251.38
  无形资产646,928,568.9633,376,718.93644,616,037.41652,718,386.82
  长期待摊费用12,557,820.819,874,411.1713,881,901.0517,939,841.86
  递延所得税资产37,422,951.4937,193,300.0137,426,410.8337,426,410.83
  其他非流动资产70,000,157.2787,783,130.4770,000,157.2770,000,157.27
  非流动资产合计4,896,937,671.114,952,410,341.745,027,630,911.35,087,488,682.8
  资产总计8,947,981,178.49,283,127,497.919,634,493,362.259,136,555,293.95
流动负债:
  短期借款1,382,441,922.181,771,565,277.761,852,899,830.561,912,599,641.68
  交易性金融负债51,274,428.344,759,836.78,311,56564,200
  应付票据及应付账款1,066,840,776.45963,706,985.91,306,361,385.481,126,508,159.7
  其中:应付票据563,100,000461,000,000787,000,000732,800,000
        应付账款503,740,776.45502,706,985.9519,361,385.48393,708,159.7
  合同负债257,921,813.34286,060,760.24237,436,188.84187,541,293.58
  应付职工薪酬117,076,331.29107,960,643.9469,368,09329,626,112.96
  应交税费66,163,087.2661,138,659.1556,633,172.5677,525,374.7
  其他应付款合计710,416,667.4560,191,523.49586,531,584.73571,657,657.72
        应付股利880,000880,000--
  一年内到期的非流动负债20,889,832.0126,260,942.8925,666,813.7525,813,417.61
  其他流动负债166,467,414.66176,434,949.19346,192,097.55238,586,050.77
  流动负债合计3,839,492,272.933,958,079,579.264,489,400,731.474,169,921,908.72
非流动负债:
  长期借款3,350,0003,350,0003,350,0003,350,000
  租赁负债4,210,712.674,706,578.84,944,998.8814,978.83
  长期应付款316,790,623.99312,574,508.93309,933,897.82308,009,917.7
  预计负债18,979,010.3719,387,059.118,979,010.3718,979,010.37
  递延收益152,268,149.31128,446,065.85150,840,144.52136,596,347.96
  递延所得税负债8,933,609.117,660,958.228,933,969.768,933,969.76
  非流动负债合计504,532,105.45476,125,170.9496,982,021.35475,884,224.62
  负债合计4,344,024,378.384,434,204,750.164,986,382,752.824,645,806,133.34
所有者权益(或股东权益):
  实收资本(或股本)1,072,872,7031,072,872,7031,072,872,7031,072,872,703
  其他权益工具800,000,0001,300,000,0001,400,000,0001,500,000,000
  永续债800,000,0001,300,000,0001,400,000,0001,500,000,000
  资本公积3,072,333,114.413,072,333,114.413,072,333,114.413,072,333,114.41
  其他综合收益3,037,878.633,021,004.713,418,475.263,426,813.74
  专项储备29,796,330.6230,979,554.4223,276,460.3626,576,977.17
  盈余公积95,095,815.4295,095,815.4295,095,815.4295,095,815.42
  未分配利润-608,661,755.49-865,551,283.4-1,156,376,709.6-1,415,840,677.06
  归属于母公司股东权益合计4,464,474,086.594,708,750,908.564,510,619,858.854,354,464,746.68
  少数股东权益139,482,713.43140,171,839.19137,490,750.58136,284,413.93
  股东权益合计4,603,956,800.024,848,922,747.754,648,110,609.434,490,749,160.61
  负债和股东权益合计8,947,981,178.49,283,127,497.919,634,493,362.259,136,555,293.95
公告日期2025-10-282025-08-132025-04-182025-04-11
审计意见(境内)标准无保留意见
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