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海天精工

(601882)

  

流通市值:106.44亿  总市值:106.44亿
流通股本:5.22亿   总股本:5.22亿

资产负债表

报告期2025-06-302025-03-312024-12-312024-09-30
公司类型通用通用通用通用
流动资产:
  货币资金860,926,545.8797,165,122.72769,863,183.83725,266,419.93
  交易性金融资产131,990,794.52171,804,616.43231,230,644.9355,231,123.28
  应收票据及应收账款526,292,616.74510,664,993.86518,222,398.89412,313,831.39
  其中:应收票据5,405,786.873,323,720.554,066,860-
        应收账款520,886,829.87507,341,273.31514,155,538.89412,313,831.39
  应收款项融资620,599,835.85612,971,018.25538,005,625.59607,685,877.68
  预付款项25,640,94623,029,743.8648,864,559.1632,909,769.91
  其他应收款合计9,163,079.418,756,05314,746,733.038,707,188.71
  存货1,463,961,606.321,514,835,261.331,461,216,031.771,532,066,214.4
  合同资产19,743,902.3421,719,513.2212,966,983.5413,900,603.4
  一年内到期的非流动资产50,979,561.64--30,000,000
  其他流动资产37,127,515.6922,212,735.3716,042,453.2115,611,991.53
  流动资产合计3,746,426,404.313,683,159,058.043,611,158,613.923,733,693,020.23
非流动资产:
  长期股权投资1,023,313.57647,855.63487,713.93355,579.36
  其他非流动金融资产-50,601,849.3250,195,000-
  固定资产631,702,872.53644,853,774.29621,298,790.7437,763,113.06
  在建工程214,115,755.33157,844,462147,183,064.54278,465,980.65
  使用权资产7,367,643.315,389,482.99642,448.274,863,315.54
  无形资产231,202,899.4232,641,723.23233,784,484.58228,010,594.3
  长期待摊费用1,297,136.58566,885.83568,425202,802.36
  递延所得税资产69,558,955.0268,693,618.8464,743,231.8466,153,103.93
  其他非流动资产12,847,469.1826,458,922.946,329,010.4730,559,043.45
  非流动资产合计1,169,116,044.921,187,698,575.071,125,232,169.331,046,373,532.65
  资产总计4,915,542,449.234,870,857,633.114,736,390,783.254,780,066,552.88
流动负债:
  应付票据及应付账款890,311,813.6789,750,574.95782,013,733.39950,042,643.86
  其中:应付票据342,493,786.07284,831,223.63310,459,208.73502,741,217.23
        应付账款547,818,027.53504,919,351.32471,554,524.66447,301,426.63
  合同负债792,291,229.16821,183,863.97754,083,598.01730,814,683.99
  应付职工薪酬90,662,382.4682,840,585.57120,831,110.6597,547,487.99
  应交税费45,621,955.2243,648,288.8851,273,089.7945,754,827.96
  其他应付款合计144,505,552.77130,750,553.1133,021,354.28132,375,607.26
  一年内到期的非流动负债2,919,680.76488,974.38693,757.426,117,461.87
  其他流动负债84,712,322.6186,654,421.9381,337,748.1986,926,580.9
  流动负债合计2,051,024,936.581,955,317,262.781,923,254,391.732,049,579,293.83
非流动负债:
  租赁负债5,641,893.235,455,508.88-3,391,744.02
  预计负债45,894,381.1146,452,997.7747,163,960.3847,208,247.3
  递延收益55,705,361.2858,147,792.2361,268,988.2297,716,485.68
  非流动负债合计107,241,635.62110,056,298.88108,432,948.6148,316,477
  负债合计2,158,266,572.22,065,373,561.662,031,687,340.332,197,895,770.83
所有者权益(或股东权益):
  实收资本(或股本)522,000,000522,000,000522,000,000522,000,000
  资本公积290,414,240.69290,414,240.69290,414,240.69290,414,240.69
  其他综合收益-1,253,423.04-923,357.99127,036.39-1,097,004.73
  专项储备19,339,534.4417,694,867.2715,530,571.0813,428,010.29
  盈余公积270,057,837.33270,057,837.33270,057,837.33216,964,094.86
  未分配利润1,653,554,060.421,703,390,538.421,604,473,658.961,538,361,340.42
  归属于母公司股东权益合计2,754,112,249.842,802,634,125.722,702,603,344.452,580,070,681.53
  少数股东权益3,163,627.192,849,945.732,100,098.472,100,100.52
  股东权益合计2,757,275,877.032,805,484,071.452,704,703,442.922,582,170,782.05
  负债和股东权益合计4,915,542,449.234,870,857,633.114,736,390,783.254,780,066,552.88
公告日期2025-08-302025-04-302025-03-252024-10-31
审计意见(境内)标准无保留意见
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