当前位置:首页 - 行情中心 - 华菱精工(603356) - 财务分析 - 资产负债表

华菱精工

(603356)

  

流通市值:24.09亿  总市值:24.09亿
流通股本:1.33亿   总股本:1.33亿

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114,382,930.7573,299,030.78119,334,576.1112,231,110.63
  应收票据及应收账款313,333,340.09361,864,690.63327,753,698.39352,580,801.91
  其中:应收票据4,481,630.8927,352,992.3614,923,51248,332,941.52
        应收账款308,851,709.2334,511,698.27312,830,186.39304,247,860.39
  应收款项融资5,113,101.5311,105,141.22010,018,156.69
  预付款项16,866,796.218,812,578.4327,292,397.4915,181,204.18
  其他应收款合计3,167,018.24,077,000.454,759,194.614,428,801.31
  存货113,796,477.45122,409,924.82149,802,654.6125,889,355.43
  合同资产339,667.25390,296.1603,395.35628,156.15
  其他流动资产17,806,887.7822,508,633.2718,525,193.0520,233,468.73
  流动资产合计584,806,219.25614,467,295.7648,071,109.59641,191,055.03
非流动资产:
  长期股权投资9,600,224.799,671,759.89,897,380.269,871,823.14
  其他非流动金融资产6,550,0006,550,0006,550,0006,550,000
  投资性房地产114,648,528.9882,272,280.2883,302,264.9184,332,249.54
  固定资产430,343,173.68469,991,844.58479,548,048.33497,184,359.66
  在建工程2,550,501.463,846,330.975,895,571.81933,739.33
  使用权资产11,608,468.7511,548,568.7411,746,961.2613,551,439.85
  无形资产110,591,508.11111,193,118.03112,647,032.61114,080,228.82
  商誉823,533.79823,533.79823,533.79823,533.79
  长期待摊费用2,564,222.671,890,626.992,030,307.21,960,160.89
  递延所得税资产17,939,050.7812,944,054.986,983,261.746,996,777.77
  其他非流动资产50,461,892.3552,419,906.7250,866,892.3555,668,201.75
  非流动资产合计757,681,105.36763,152,024.88770,291,254.26791,952,514.54
  资产总计1,342,487,324.611,377,619,320.581,418,362,363.851,433,143,569.57
流动负债:
  短期借款283,500,000275,112,222.22226,150,383.33165,252,296.45
  应付票据及应付账款321,136,760.09306,675,620.9252,043,048.77259,659,883.77
  其中:应付票据84,000,00065,000,00055,000,00011,000,000
        应付账款237,136,760.09241,675,620.9197,043,048.77248,659,883.77
  合同负债2,191,207.382,495,780.9430,877,197.2316,034,869.17
  应付职工薪酬17,489,827.5917,688,923.3917,094,812.1823,058,138.06
  应交税费2,203,195.464,560,417.085,995,246.164,124,753.67
  其他应付款合计58,099,950.5462,604,866.7157,193,317.8428,824,352.6
        应付股利3,060,6003,060,6003,060,6003,060,600
  一年内到期的非流动负债85,914,032.94111,398,051.1348,136,159.56262,573,564.87
  其他流动负债305,142.04508,120.052,290,321.071,868,380.49
  流动负债合计770,840,116.04781,044,002.42639,780,486.14761,396,239.08
非流动负债:
  长期借款94,800,00089,250,000236,750,000109,250,000
  租赁负债7,782,978.628,656,761.837,364,052.088,166,264.26
  递延收益4,069,878.114,288,232.664,551,312.964,813,231.69
  递延所得税负债6,872,279.9510,440,067.9811,374,108.4411,374,108.44
  非流动负债合计113,525,136.68112,635,062.47260,039,473.48133,603,604.39
  负债合计884,365,252.72893,679,064.89899,819,959.62894,999,843.47
所有者权益(或股东权益):
  实收资本(或股本)133,340,000133,340,000133,340,000133,340,000
  资本公积314,584,816.22314,584,816.22314,584,816.22314,584,816.22
  减:库存股80,030,129.3280,030,129.3280,030,129.3280,030,129.32
  专项储备23,498,846.6218,135,63019,826,391.9915,056,397.52
  盈余公积25,885,649.8825,885,649.8825,885,649.8825,885,649.88
  未分配利润-33,851,614.42-4,747,192.0119,784,661.541,360,282.33
  归属于母公司股东权益合计383,427,568.98407,168,774.77433,391,390.27450,197,016.63
  少数股东权益74,694,502.9176,771,480.9285,151,013.9687,946,709.47
  股东权益合计458,122,071.89483,940,255.69518,542,404.23538,143,726.1
  负债和股东权益合计1,342,487,324.611,377,619,320.581,418,362,363.851,433,143,569.57
公告日期2025-10-302025-08-282025-04-292025-04-15
审计意见(境内)标准无保留意见
TOP↑