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创力集团

(603012)

  

流通市值:38.85亿  总市值:38.85亿
流通股本:6.47亿   总股本:6.47亿

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479,922,951.2659,456,402.6786,921,972.2689,435,588.35
  交易性金融资产12,698,490.1612,707,645.7212,863,290.2415,650,354.45
  应收票据及应收账款3,063,055,003.822,830,386,137.133,015,253,797.692,589,350,373.64
  其中:应收票据66,167,794.853,770,631.6550,590,192.1784,865,638.39
        应收账款2,996,887,209.022,776,615,505.482,964,663,605.522,504,484,735.25
  应收款项融资124,043,510.3183,359,790.83129,211,567.98167,050,154.74
  预付款项90,063,042.69108,295,844.2985,904,115.13190,505,576.37
  其他应收款合计54,957,345.3468,211,814.8660,792,301.0354,566,384.78
  其中:应收利息162,082.19---
  存货1,287,864,278.441,243,999,523.911,051,983,747.291,349,036,959.96
  合同资产206,622,894.13190,966,356.89202,760,604.65196,497,753.8
  一年内到期的非流动资产109,170,567.9392,598,008.785,422,690.4491,982,133.06
  其他流动资产64,418,637.7855,929,771.438,841,240.3345,095,504.95
  流动资产合计5,493,069,639.95,446,158,385.155,470,202,415.85,389,170,784.1
非流动资产:
  长期应收款296,975,149.37238,209,792.75230,904,545.52230,819,927.34
  长期股权投资151,091,220.47157,009,251.01157,675,313.31168,858,273.73
  其他权益工具投资12,170,106.8712,170,106.8712,170,106.8724,532,463.93
  其他非流动金融资产4,893,7004,893,7004,893,700-
  投资性房地产89,844,735.791,223,698.3692,602,661.02117,625,465.59
  固定资产923,605,825.45933,746,633.45913,998,606.82773,414,396.99
  在建工程186,016,260.33164,287,491.05190,267,089.8498,971,335.27
  使用权资产29,014,346.3325,325,335.6826,885,130.124,404,167.72
  无形资产181,711,030.36178,640,257.62180,484,097.61176,935,334.38
  商誉184,512,786.91184,512,786.91184,512,786.91184,512,786.91
  长期待摊费用7,136,891.892,978,381.073,623,367.8913,470,578.86
  递延所得税资产199,717,983.75185,736,794.89194,248,158.68199,953,179
  其他非流动资产95,622,182.8396,575,034.979,717,584.62135,108,066.49
  非流动资产合计2,362,312,220.262,275,309,264.562,271,983,149.192,148,605,976.21
  资产总计7,855,381,860.167,721,467,649.717,742,185,564.997,537,776,760.31
流动负债:
  短期借款674,807,668.87626,844,135.83618,543,892.04623,439,856.53
  应付票据及应付账款1,312,646,297.961,392,676,683.411,315,582,529.11,074,741,704.63
  其中:应付票据182,386,393.93342,262,958.2294,780,791.96188,947,921.29
        应付账款1,130,259,904.031,050,413,725.211,020,801,737.14885,793,783.34
  预收款项11,726,839.2212,170,716.0711,204,115.2814,335,328.98
  合同负债136,110,298.9146,703,766.61122,495,309.2232,177,884.06
  应付职工薪酬47,299,410.0239,956,320.2479,233,038.8455,329,011.57
  应交税费49,703,485.5655,833,329.88116,534,908.9933,255,539.09
  其他应付款合计966,892,374.91917,937,719.34968,875,727.09910,411,854.37
        应付股利26,561,681.3318,741,281.3319,741,281.3324,106,528.8
  一年内到期的非流动负债152,276,372.25165,177,900.58167,913,238.43214,329,366.82
  其他流动负债121,505,152.57120,615,907.57124,387,550.0493,490,966.78
  流动负债合计3,472,967,900.263,477,916,479.533,524,770,309.013,251,511,512.83
非流动负债:
  长期借款244,263,842.4140,673,191.1150,956,890.39188,701,676.84
  租赁负债22,931,131.8818,185,354.422,283,236.3819,008,334.21
  长期应付款10,890,077.210,175,430.313,275,430.316,301,636
  预计负债---85,656,678.44
  递延收益38,615,203.4140,083,605.2738,809,716.3638,772,963.43
  递延所得税负债12,622,240.1411,011,820.8511,376,823.415,070,140.12
  非流动负债合计329,322,495.03220,129,401.92236,702,096.83363,511,429.04
  负债合计3,802,290,395.293,698,045,881.453,761,472,405.843,615,022,941.87
所有者权益(或股东权益):
  实收资本(或股本)650,472,000650,472,000650,760,000650,760,000
  资本公积228,464,026.3228,364,802.5218,105,453.79218,084,686.35
  减:库存股10,565,52010,890,72011,757,60012,651,840
  其他综合收益-13,500,482.19-13,501,094.1-13,501,409.8-5,551,149.56
  专项储备9,036,899.668,901,305.688,664,133.029,193,005.67
  盈余公积274,808,810.27274,808,810.27274,808,810.27255,265,301.34
  未分配利润2,648,059,629.332,668,980,403.632,631,337,443.812,571,722,195.8
  归属于母公司股东权益合计3,786,775,363.373,807,135,507.983,758,416,831.093,686,822,199.6
  少数股东权益266,316,101.5216,286,260.28222,296,328.06235,931,618.84
  股东权益合计4,053,091,464.874,023,421,768.263,980,713,159.153,922,753,818.44
  负债和股东权益合计7,855,381,860.167,721,467,649.717,742,185,564.997,537,776,760.31
公告日期2025-08-232025-04-262025-04-262024-10-26
审计意见(境内)标准无保留意见
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