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豪威集团

(603501)

  

流通市值:1553.80亿  总市值:1553.80亿
流通股本:12.17亿   总股本:12.17亿

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10,836,614,670.6310,185,347,668.428,793,051,359.237,775,745,053.86
应收票据及应收账款3,744,034,977.533,988,335,100.834,382,027,705.114,366,783,911.03
其中:应收票据-24,402,389.744,977,571.9216,075,199.01
应收账款3,744,034,977.533,963,932,711.094,377,050,133.194,350,708,712.02
应收款项融资220,009,065.92116,383,270.33102,341,122.34193,418,936.28
预付款项434,804,227.55250,946,527.91544,428,828.24357,884,906.2
其他应收款合计41,270,518.3157,800,367.7746,688,912.9646,486,306.71
存货7,359,231,141.26,956,198,221.346,771,563,381.256,757,780,784.65
一年内到期的非流动资产59,466,786.776,882,297.1888,345,863.5493,471,939.73
其他流动资产153,765,519.1172,327,859.64132,915,946.22139,985,407.6
流动资产平衡项目0000
流动资产合计22,849,196,906.9421,804,221,313.4220,873,143,233.4219,741,547,343.18
非流动资产:
长期应收款3,012,467.033,232,875.925,718,929.976,042,652.43
长期股权投资455,667,986.81464,026,971.94507,187,083.22512,187,083.22
其他权益工具投资1,732,974,070.591,648,706,536.091,571,024,945.141,342,760,888.38
其他非流动金融资产3,533,858,461.073,346,755,140.133,541,784,9553,460,797,224.18
投资性房地产239,753,506.67241,662,560241,211,164.55244,465,821.38
固定资产3,120,532,255.863,125,547,285.143,083,035,131.043,042,173,363.19
在建工程634,454,947.26533,792,251.6458,258,977.72447,112,365.31
使用权资产159,015,514.36153,941,138.12150,977,009.44168,100,185.92
无形资产2,145,445,657.412,216,190,415.092,236,687,081.912,180,626,125.65
开发支出1,162,711,192.111,063,475,215.961,082,612,066.741,209,573,255.8
商誉3,631,317,175.993,632,186,985.623,854,246,790.673,864,428,679.85
长期待摊费用150,588,453.4168,577,431.89179,691,220.09195,488,601.45
递延所得税资产433,728,107.89400,677,068.47477,970,707.63488,378,198.75
其他非流动资产134,583,531.5161,580,114.45129,073,530.08223,203,796.15
非流动资产平衡项目0000
非流动资产合计17,537,643,327.9517,160,351,990.4217,519,479,593.217,385,338,241.66
资产平衡项目0000
资产总计40,386,840,234.8938,964,573,303.8438,392,622,826.6237,126,885,584.84
流动负债:
短期借款1,808,824,236.111,085,629,854.181,436,449,173.611,826,449,173.61
应付票据及应付账款2,273,990,200.351,935,439,220.322,317,132,501.832,135,429,411.6
应付账款2,273,990,200.351,935,439,220.322,317,132,501.832,135,429,411.6
预收款项--2,968,962.4220,784.58
合同负债240,500,807.65225,672,725.17220,366,473.37212,681,964.87
应付职工薪酬233,893,374.39332,329,059.86239,436,487.58228,737,416.77
应交税费276,488,717.26229,093,833.77194,931,771.84175,252,444.76
其他应付款合计937,486,370.171,132,671,151.131,163,385,625.111,223,601,717.94
应付股利1,991,344.762,802,626.672,457.14167,605,934.44
一年内到期的非流动负债4,374,234,771.442,652,588,253.222,656,340,842.082,341,847,610.85
其他流动负债14,973,378.572,003,403.713,467,592.136,529,923.69
流动负债平衡项目0000
流动负债合计10,160,391,855.947,595,427,501.358,244,479,429.978,150,550,448.67
非流动负债:
长期借款1,243,100,0003,471,950,0003,332,800,0003,012,800,000
应付债券2,542,053,486.412,523,927,350.232,503,310,037.322,482,948,471.4
租赁负债115,749,903.3196,931,987.36126,837,065.64113,419,593.22
预计负债434,696,197433,332,921.94888,284,620.24897,154,762.46
递延收益13,528,879.9722,021,717.8418,794,973.2927,465,758.31
递延所得税负债560,026,411.38529,831,724.17502,622,636.86526,117,156.38
其他非流动负债92,693,307.4888,760,00086,429,502.99174,170,000
非流动负债平衡项目0000
非流动负债合计5,001,848,185.557,166,755,701.547,459,078,836.347,234,075,741.77
负债平衡项目0000
负债合计15,162,240,041.4914,762,183,202.8915,703,558,266.3115,384,626,190.44
所有者权益(或股东权益):
实收资本(或股本)1,216,948,2881,216,123,5351,214,427,0121,215,775,699
其他权益工具233,005,227.09233,015,762.9233,024,862.01233,025,340.91
资本公积11,651,514,527.311,545,441,480.8211,371,909,707.8511,466,552,347.72
减:库存股1,439,898,046.741,439,898,046.741,536,399,126.761,704,449,264.96
其他综合收益628,093,092.02574,893,050.667,812,137.79137,287,185.05
盈余公积203,693,079.22203,693,079.22148,039,395.82148,039,395.82
未分配利润12,733,886,350.4511,867,916,685.911,215,604,322.7710,207,320,462.47
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25,227,242,517.3424,201,185,547.7622,654,418,311.4821,703,551,166.01
少数股东权益-2,642,323.941,204,553.1934,646,248.8338,708,228.39
股东权益平衡项目0000
股东权益合计25,224,600,193.424,202,390,100.9522,689,064,560.3121,742,259,394.4
负债和股东权益合计40,386,840,234.8938,964,573,303.8438,392,622,826.6237,126,885,584.84
公告日期2025-04-302025-04-162024-10-262024-08-20
审计意见(境内)标准无保留意见
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