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岳阳林纸

(600963)

  

流通市值:82.25亿  总市值:82.25亿
流通股本:17.58亿   总股本:17.58亿

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1,049,237,957.5848,945,526956,080,702.25881,927,775.66
  应收票据及应收账款700,606,033.4822,746,925.96801,005,756.48647,085,453.4
        应收账款700,606,033.4822,746,925.96801,005,756.48647,085,453.4
  应收款项融资1,653,876,605.041,091,885,009.7624,336,041.71526,131,442
  预付款项80,031,664.37233,602,037.09267,752,932.72208,627,083.01
  其他应收款合计666,537,354.61868,437,898.71867,591,738.87892,048,475.11
  存货5,059,574,633.524,875,486,062.764,766,577,888.714,904,681,163.76
  合同资产867,977,161.491,020,754,491.051,124,087,689.051,167,003,449.18
  一年内到期的非流动资产174,141,355.4283,683,456.2483,683,456.24119,299,738.43
  其他流动资产401,855,153.07386,458,100.98387,368,685.34285,716,089.73
  流动资产合计10,653,837,918.4210,231,999,508.499,878,484,891.379,632,520,670.28
非流动资产:
  长期应收款19,621,203.54158,204,136.94158,204,136.94161,061,348.66
  长期股权投资235,133,866.44225,320,938.21273,382,245.94276,809,918.79
  其他权益工具投资3,995,2023,995,2023,995,2023,995,202
  投资性房地产3,006,279.473,069,070.943,131,862.413,194,653.88
  固定资产8,183,717,938.228,048,459,839.48,100,164,371.565,847,121,403.67
  在建工程280,254,109.65273,141,243.4217,568,865.032,459,119,866.54
  使用权资产29,647,892.2125,972,982.2827,736,040.2336,959,512.72
  无形资产637,832,167.06635,878,760.37635,593,482.1658,587,807.21
  开发支出1,680,0001,680,000--
  商誉1,512,546.2349,961,262.29349,961,262.29349,961,262.29
  长期待摊费用34,532,398.29124,582,651.46130,114,662.6743,351,459.46
  递延所得税资产46,900,339.1830,543,774.9526,828,298.0926,662,456.85
  其他非流动资产403,545,815.31503,229,360.12500,755,495.4499,951,280.66
  非流动资产合计9,881,379,757.5710,384,039,222.3610,427,435,924.6610,366,776,172.73
  资产总计20,535,217,675.9920,616,038,730.8520,305,920,816.0319,999,296,843.01
流动负债:
  短期借款3,742,720,418.752,977,700,0003,622,700,0003,875,932,116.34
  应付票据及应付账款4,552,956,786.354,333,375,493.43,357,295,248.843,097,401,555.88
  其中:应付票据3,051,492,198.842,755,087,960.711,935,007,804.151,488,006,361.6
        应付账款1,501,464,587.511,578,287,532.691,422,287,444.691,609,395,194.28
  预收款项1,113,531.51880,092.381,632,593.661,632,593.66
  合同负债304,982,553.75315,201,212.09287,369,553.21372,117,437.7
  应付职工薪酬3,519,303.833,688,773.142,961,439.943,074,662.56
  应交税费47,567,456.6753,828,774.8558,193,680.3445,761,521.18
  其他应付款合计229,044,209.48334,684,123.29413,786,003.26630,917,742.69
        应付股利--2,445,000-
  一年内到期的非流动负债1,014,745,230.7129,144,610.4433,506,521.32114,126,941.07
  其他流动负债90,766,280.997,093,526.87100,982,464.03117,346,274.85
  流动负债合计9,987,415,771.958,145,596,606.467,878,427,504.68,258,310,845.93
非流动负债:
  长期借款2,834,843,890.64,379,595,090.524,336,014,317.273,671,726,034.85
  租赁负债20,484,454.7818,889,486.3421,124,661.624,645,566.2
  预计负债24,991,962.26---
  递延收益55,391,151.6856,191,223.3238,368,711.6532,367,678.56
  递延所得税负债-22,382.3322,382.3326,598.14
  非流动负债合计2,935,711,459.324,454,698,182.514,395,530,072.853,728,765,877.75
  负债合计12,923,127,231.2712,600,294,788.9712,273,957,577.4511,987,076,723.68
所有者权益(或股东权益):
  实收资本(或股本)1,757,567,8541,757,567,8541,757,567,8541,765,751,854
  资本公积5,647,029,467.415,598,818,731.865,657,850,337.645,694,335,529.87
  减:库存股---37,477,048.07
  专项储备25,188,165.3612,226,150.0423,119,705.5434,804,976.6
  盈余公积368,945,031.58374,965,719.72368,945,031.58368,945,031.58
  未分配利润-186,640,073.63243,862,474.93199,012,884.51157,731,209.6
  归属于母公司股东权益合计7,612,090,444.727,987,440,930.558,006,495,813.277,984,091,553.58
  少数股东权益-28,303,011.3325,467,425.3128,128,565.75
  股东权益合计7,612,090,444.728,015,743,941.888,031,963,238.588,012,220,119.33
  负债和股东权益合计20,535,217,675.9920,616,038,730.8520,305,920,816.0319,999,296,843.01
公告日期2026-03-112025-10-252025-08-302025-04-22
审计意见(境内)标准无保留意见
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