当前位置:首页 - 行情中心 - 台华新材(603055) - 财务分析 - 资产负债表

台华新材

(603055)

  

流通市值:79.04亿  总市值:79.33亿
流通股本:8.87亿   总股本:8.90亿

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898,479,938.74795,885,621.64731,562,127.721,030,478,209.35
  交易性金融资产--50,000,000-
  应收票据及应收账款1,091,608,437.81,146,844,623.111,154,061,581.471,295,744,040
  其中:应收票据64,832,026.8684,679,093.44104,660,730.29125,845,091.59
        应收账款1,026,776,410.941,062,165,529.671,049,400,851.181,169,898,948.41
  应收款项融资222,633,706.92267,201,964.51193,227,238.19258,705,425.21
  预付款项114,081,825.0373,497,151.6390,439,056.0897,120,476.75
  其他应收款合计5,455,931.085,344,671.215,857,860.575,640,331.08
  存货2,339,298,740.542,487,124,533.122,636,982,598.252,354,347,473.82
  其他流动资产97,549,738.9576,683,433.262,614,641.9878,013,448.32
  流动资产合计4,769,108,319.064,852,581,998.424,924,745,104.265,120,049,404.53
非流动资产:
  长期股权投资80,414,217.4379,639,473.91,697,848.531,394,644.71
  其他权益工具投资18,615,00017,766,00015,913,50016,315,500
  投资性房地产40,509,708.2341,189,780.8541,869,853.4342,549,926.03
  固定资产5,788,918,016.925,621,398,836.15,440,512,443.475,476,526,459.09
  在建工程322,992,201.24534,091,912.93589,956,623.74454,220,799.3
  使用权资产89,454,341.4493,148,839.1479,666,546.3882,676,914.14
  无形资产372,365,952.15374,519,664.91379,042,669.31381,663,532.29
  长期待摊费用28,037,678.127,377,779.0826,072,255.2425,557,678.79
  递延所得税资产78,454,126.3468,197,869.7275,895,543.2175,925,245.9
  其他非流动资产53,587,280.2972,362,035.12117,501,403.92107,936,703.3
  非流动资产合计6,873,348,522.146,929,692,191.756,768,128,687.236,664,767,403.55
  资产总计11,642,456,841.211,782,274,190.1711,692,873,791.4911,784,816,808.08
流动负债:
  短期借款1,675,705,662.551,640,108,708.811,488,598,027.351,591,162,595.36
  应付票据及应付账款1,021,632,340.681,218,225,425.541,466,883,662.111,823,684,491.81
  其中:应付票据336,123,117.43482,263,478.34734,719,401.3860,655,751.21
        应付账款685,509,223.25735,961,947.2732,164,260.81963,028,740.6
  预收款项3,342,709.34,986,934.15,143,200.82,749,776.15
  合同负债58,535,168.4167,266,111.6570,230,400.5157,040,386.31
  应付职工薪酬80,850,583.0682,881,445.4280,679,049.17128,577,863.67
  应交税费67,561,277.5670,498,369.6553,462,151.9160,323,360.32
  其他应付款合计38,630,183.2842,373,068.1234,612,607.6534,728,967.71
  一年内到期的非流动负债939,254,458.49922,188,673.98791,701,792.69982,138,832.85
  其他流动负债8,709,385.938,962,729.8313,530,430.4715,482,144.81
  流动负债合计3,894,221,769.264,057,491,467.14,004,841,322.664,695,888,418.99
非流动负债:
  长期借款1,649,908,594.71,726,916,421.381,656,186,968.931,231,406,917.54
  应付债券622,720,591.16615,321,257.97608,001,377.1600,762,931.43
  租赁负债82,073,306.4185,456,251.2572,260,082.7772,631,832.9
  递延收益115,909,615.53119,190,135.92123,351,168.94125,561,403.27
  递延所得税负债4,199,400.944,047,872.443,748,675.563,900,692.49
  非流动负债合计2,474,811,508.742,550,931,938.962,463,548,273.32,034,263,777.63
  负债合计6,369,033,2786,608,423,406.066,468,389,595.966,730,152,196.62
所有者权益(或股东权益):
  实收资本(或股本)890,292,694890,292,633890,292,633890,292,573
  其他权益工具61,734,942.7461,735,045.6861,735,045.6861,735,148.62
  资本公积1,233,547,890.621,231,342,502.591,227,459,115.931,223,274,689.38
  减:库存股26,435,896.1226,435,896.1227,645,896.1227,645,896.12
  其他综合收益13,119,857.1212,749,129.7511,267,129.7511,588,729.75
  盈余公积116,387,300.56116,387,300.56116,387,300.56116,387,300.56
  未分配利润2,920,398,009.132,826,698,981.272,887,254,471.012,724,095,746.88
  归属于母公司股东权益合计5,209,044,798.055,112,769,696.735,166,749,799.814,999,728,292.07
  少数股东权益64,378,765.1561,081,087.3857,734,395.7254,936,319.39
  股东权益合计5,273,423,563.25,173,850,784.115,224,484,195.535,054,664,611.46
  负债和股东权益合计11,642,456,841.211,782,274,190.1711,692,873,791.4911,784,816,808.08
公告日期2025-10-302025-08-292025-04-292025-04-11
审计意见(境内)标准无保留意见
TOP↑