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中国化学

(601117)

  

流通市值:465.54亿  总市值:468.54亿
流通股本:60.70亿   总股本:61.09亿

资产负债表

报告期2025-03-312024-12-312024-09-302024-06-30
公司类型通用通用通用通用
流动资产:
货币资金33,331,050,378.4550,066,643,108.3538,536,383,172.3139,742,937,963.13
拆出资金1,221,534,600-921,022,2001,221,380,400
应收票据及应收账款41,827,601,182.6541,072,041,410.0340,821,179,644.1239,938,379,687.87
其中:应收票据4,826,650,026.974,820,510,155.615,321,346,421.565,789,057,500.66
应收账款37,000,951,155.6836,251,531,254.4235,499,833,222.5634,149,322,187.21
应收款项融资2,034,088,696.761,429,214,570.291,924,718,110.652,639,738,795.81
预付款项20,564,627,706.4318,473,388,781.7418,454,588,685.5218,296,117,476.35
其他应收款合计5,729,948,670.415,096,831,3946,146,649,070.035,885,653,598.91
其中:应收利息--133,933,098.84-
应收股利776,243.93,576,243.929,791,599.44-
买入返售金融资产1,700,000,000-500,000,000-
存货7,264,456,363.755,848,475,788.317,183,768,381.216,519,036,047.84
合同资产51,156,064,037.1846,468,272,764.752,926,633,028.7452,665,844,374.05
一年内到期的非流动资产1,833,494,663.351,770,011,580.862,277,825,021.152,135,377,174.05
其他流动资产4,595,508,433.763,747,229,921.792,691,281,024.553,353,802,497.53
流动资产平衡项目0000
流动资产合计171,982,265,606.14175,156,690,646.71173,561,660,616.75173,479,308,220.66
非流动资产:
发放委托贷款及垫款8,725,005,299.338,944,528,779.65,885,054,696.696,127,476,986.39
债权投资6,539,363.266,539,363.26--
其他债权投资717,790,717.28720,531,861.54643,679,375.93862,469,820.44
长期应收款3,228,227,881.143,050,433,042.352,385,591,011.492,413,697,313.61
长期股权投资2,556,704,106.782,499,330,417.572,650,850,508.852,683,899,305.16
其他权益工具投资1,462,865,482.751,440,918,583.471,122,113,637.741,107,432,814.6
其他非流动金融资产1,000,00022,946,899.2892,586,666.6792,586,666.67
投资性房地产1,179,023,589.031,192,533,289.051,199,061,522.041,202,448,223.26
固定资产13,794,143,674.0813,806,586,273.3613,466,974,181.8913,631,219,661.38
在建工程9,627,151,682.929,427,076,195.759,251,356,184.918,840,531,822.46
使用权资产1,912,663,538.031,898,362,019.071,891,261,857.161,913,860,663.94
无形资产5,165,344,621.734,726,641,168.14,579,475,399.814,533,607,155.06
开发支出171,080,870.29196,194,060.32131,375,443.86105,693,620.33
商誉42,830,513.3542,830,513.3542,830,513.3434,794,176.66
长期待摊费用585,664,364.92506,168,904.76496,699,784.98489,042,699.03
递延所得税资产1,514,020,870.621,501,738,439.281,401,763,381.961,387,314,060.11
其他非流动资产8,306,082,332.28,281,326,852.585,869,976,896.994,685,471,652.02
非流动资产平衡项目0000
非流动资产合计58,996,138,907.7158,264,686,662.6951,110,651,064.3150,111,546,641.12
资产平衡项目0000
资产总计230,978,404,513.85233,421,377,309.4224,672,311,681.06223,590,854,861.78
流动负债:
短期借款2,195,039,943.872,754,180,150.141,061,298,389.011,106,193,632.08
向中央银行借款-6,185,50585,896,842.59223,236,433.4
吸收存款及同业存放2,692,467,701.874,265,028,336.583,755,107,918.334,013,776,340.7
拆入资金-1,500,000,000--
应付票据及应付账款99,602,699,015.47100,837,673,350.694,858,810,036.8491,941,425,099.3
其中:应付票据10,665,863,758.4811,997,206,633.9211,301,239,859.869,162,755,313.01
应付账款88,936,835,256.9988,840,466,716.6883,557,570,176.9882,778,669,786.29
预收款项10,978,118.7626,237,765.522,807,522.1936,178,356.4
合同负债28,470,185,082.9230,265,857,884.6931,304,203,892.1933,157,096,901.62
卖出回购金融资产款-500,000,000--
应付职工薪酬292,657,353.92278,267,734.26430,147,236.5364,127,337.12
应交税费1,276,480,042.821,411,272,564.15910,616,918.241,015,883,481.73
其他应付款合计10,007,272,279.18,261,292,060.0310,169,309,062.519,401,012,226.27
其中:应付利息3,258,227.312,303,330.8762,987,593.42-
应付股利13,813,935.8613,813,935.8625,403,853.57-
一年内到期的非流动负债821,421,062.021,110,311,212.821,006,387,274.21,107,070,432.37
其他流动负债3,882,829,347.854,367,998,993.723,661,058,298.494,024,811,182.98
流动负债平衡项目0000
流动负债合计149,252,029,948.6155,584,305,557.49147,265,643,391.09146,390,811,423.97
非流动负债:
长期借款7,298,566,497.225,307,981,821.355,650,974,592.015,480,604,436.91
应付债券--499,983,700.37500,008,277.23
租赁负债2,112,978,845.41,908,921,587.982,078,168,176.652,076,265,935.46
长期应付款178,393,656.92178,788,118.06203,435,066.56225,595,240.77
长期应付职工薪酬573,907,735.75579,974,472.86540,844,469.04550,602,434.32
预计负债141,294,953.68136,789,905.11151,875,635.16145,628,207.39
递延收益670,751,811.86672,060,485.37643,759,541.3645,351,485.91
递延所得税负债149,012,432.59154,742,156.66126,963,287.93114,794,019.78
其他非流动负债8,315.86---
非流动负债平衡项目0000
非流动负债合计11,124,914,249.288,939,258,547.399,896,004,469.029,738,850,037.77
负债平衡项目0000
负债合计160,376,944,197.88164,523,564,104.88157,161,647,860.11156,129,661,461.74
所有者权益(或股东权益):
实收资本(或股本)6,109,070,5626,109,070,5626,109,070,5626,109,470,562
资本公积15,334,370,078.3515,322,579,866.0315,458,540,513.8215,444,253,065.44
减:库存股334,377,444.58334,377,444.58506,632,491.79510,034,993.41
其他综合收益-459,667,421.14-453,477,821.66-465,061,618.02-457,960,736.13
专项储备597,603,751.63504,425,680.53573,137,054.54556,588,022.99
盈余公积2,936,718,112.372,936,718,112.372,706,598,260.642,706,598,260.64
一般风险准备274,036,392.6274,036,392.6274,036,392.6274,036,392.6
未分配利润39,361,422,073.7237,916,600,218.1836,326,154,286.5236,414,845,969.65
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63,819,176,104.9562,275,575,565.4760,475,842,960.3160,537,796,543.78
少数股东权益6,782,284,211.026,622,237,639.057,034,820,860.646,923,396,856.26
股东权益平衡项目0000
股东权益合计70,601,460,315.9768,897,813,204.5267,510,663,820.9567,461,193,400.04
负债和股东权益合计230,978,404,513.85233,421,377,309.4224,672,311,681.06223,590,854,861.78
公告日期2025-04-302025-04-302024-10-312024-08-31
审计意见(境内)标准无保留意见
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