当前位置:首页 - 行情中心 - 百傲化学(603360) - 财务分析 - 资产负债表

百傲化学

(603360)

  

流通市值:138.22亿  总市值:138.22亿
流通股本:5.04亿   总股本:5.04亿

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845,334,296.97668,244,186.44418,179,580.32454,635,518.65
应收票据及应收账款336,204,610.18397,007,027.66260,428,435.17203,005,165.2
其中:应收票据31,597,002.754,962,235.6525,619,688.7222,681,759.8
应收账款304,607,607.48342,044,792.01234,808,746.45180,323,405.4
应收款项融资7,359,848.7913,544,956.871,894,973.812,498,293.16
预付款项345,013,281.62353,918,126.63231,001,341.32230,880,972.83
其他应收款合计119,693,976.45132,452,675.83248,891,934.99249,303,860.14
存货937,607,900.95902,353,613.16148,580,590.26133,204,381.03
合同资产9,668,241.578,577,729.07--
其他流动资产50,714,448.3736,935,780.1913,099,652.179,510,733.39
流动资产平衡项目0000
流动资产合计2,651,596,604.92,513,034,095.851,322,076,508.041,283,038,924.4
非流动资产:
长期股权投资122,827,058.57---
投资性房地产397,505418,197.2438,889.4459,581.6
固定资产658,943,864.04643,437,271.32584,654,752.44586,663,101.94
在建工程18,859,428.7325,392,649.6521,363,854.3116,331,523.95
使用权资产27,678,766.1527,600,065.43812,733.87914,325.63
无形资产139,702,925.66137,205,851.1241,344,835.0741,619,290.79
商誉230,532,246.93230,532,246.93--
长期待摊费用25,203,152.7625,741,087.23--
递延所得税资产24,455,953.8428,407,430.27--
其他非流动资产8,823,454.638,000,974.7911,869,850.786,296,056.38
非流动资产平衡项目0000
非流动资产合计1,257,424,356.311,126,735,773.94660,484,915.87652,283,880.29
资产平衡项目0000
资产总计3,909,020,961.213,639,769,869.791,982,561,423.911,935,322,804.69
流动负债:
短期借款524,194,769.38423,937,895.84155,043,541.66205,080,354.17
应付票据及应付账款130,985,827.07117,718,746.4548,838,406.6855,854,603.6
应付账款130,985,827.07117,718,746.4548,838,406.6855,854,603.6
合同负债226,842,838.22347,910,486.361,818,305.471,253,624.4
应付职工薪酬16,555,141.4226,583,421.9910,347,613.499,956,079.14
应交税费22,785,235.8749,783,206.7215,594,491.1311,606,164.01
其他应付款合计7,683,190.8348,276,7081,626,900.621,686,044.97
其中:应付利息-360,299.91--
一年内到期的非流动负债385,797.3635,492,331.26413,439.08409,026.28
其他流动负债23,575,079.7962,824,076.7227,106,974.8819,050,179.75
流动负债平衡项目0000
流动负债合计953,007,879.941,112,526,873.34260,789,673.01304,896,076.32
非流动负债:
长期借款445,000,00086,000,000--
租赁负债30,003,961.4522,604,727.48394,166.67389,959.56
预计负债8,162,595.426,489,287.46--
递延收益11,773,7508,055,3758,377,0008,698,625
递延所得税负债43,537,012.1752,896,283.3118,990,544.7621,456,974.81
非流动负债平衡项目0000
非流动负债合计538,477,319.04176,045,673.2527,761,711.4330,545,559.37
负债平衡项目0000
负债合计1,491,485,198.981,288,572,546.59288,551,384.44335,441,635.69
所有者权益(或股东权益):
实收资本(或股本)504,445,467504,445,467504,445,467504,445,467
资本公积98,760,418.0297,034,989.7495,152,689.2390,967,131.59
减:库存股--1,494,4001,494,400
其他综合收益-11,447,980.72-11,709,083.8-11,635,916.55-11,635,261.88
专项储备571,377.36126,456.26--273,365
盈余公积197,047,494.26197,047,494.26163,519,957.53163,519,957.53
未分配利润1,051,690,743.511,001,529,112.98944,022,242.26854,351,639.76
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1,841,067,519.431,788,474,436.441,694,010,039.471,599,881,169
少数股东权益576,468,242.8562,722,886.76--
股东权益平衡项目0000
股东权益合计2,417,535,762.232,351,197,323.21,694,010,039.471,599,881,169
负债和股东权益合计3,909,020,961.213,639,769,869.791,982,561,423.911,935,322,804.69
公告日期2025-04-252025-04-252024-10-302024-08-29
审计意见(境内)标准无保留意见
TOP↑