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继峰股份

(603997)

  

流通市值:153.43亿  总市值:153.43亿
流通股本:12.68亿   总股本:12.68亿

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1,784,164,292.021,879,595,879.492,220,000,303.051,579,967,886.71
  交易性金融资产495,141,766.45374,947,254.05510,562,313.93524,065,271.21
  应收票据及应收账款4,712,624,161.724,678,508,410.824,702,853,701.254,834,577,607.21
  其中:应收票据175,803,538.6486,445,722.72119,073,326.2478,391,581.08
        应收账款4,536,820,623.084,592,062,688.14,583,780,375.014,756,186,026.13
  应收款项融资503,570,343.28515,202,847.86276,365,600.45335,185,979.94
  预付款项160,113,426.42130,815,880.1107,413,020.6156,082,108.44
  其他应收款合计64,879,314.5795,738,153.1680,744,267.15165,289,070.6
  存货1,777,507,491.581,650,158,978.931,641,174,624.071,679,767,715.13
  合同资产860,496,461.66484,762,217.22474,411,157.92479,219,853.22
  其他流动资产430,786,067.81377,698,203.51336,142,256.33350,725,320.5
  流动资产合计10,789,283,325.5110,187,427,825.1410,349,667,244.7510,104,880,812.96
非流动资产:
  长期应收款31,017,389.3529,698,818.6638,688,976.221,354,960.23
  长期股权投资20,267,781.915,709,437.7412,422,824.147,062,984.74
  固定资产4,456,328,623.214,203,781,882.744,137,953,329.213,793,658,794.93
  在建工程490,386,559.54550,435,176.12502,841,997.99739,231,354.78
  使用权资产679,872,435.98685,919,425.8705,966,239.08666,352,497.71
  无形资产1,146,476,962.56994,504,192.1980,950,005.86964,425,505.58
  开发支出189,422,514.95274,871,843.71253,015,745.41264,967,056.61
  商誉1,760,567,136.441,633,777,874.811,577,201,670.171,639,223,708.15
  长期待摊费用45,237,717.9333,379,126.4232,342,99335,615,575.36
  递延所得税资产565,513,448.22469,533,282.11495,816,982.32344,364,911.3
  其他非流动资产1,410,790,810.231,303,813,514.61,197,934,566.231,305,930,289.86
  非流动资产合计10,795,881,380.3110,195,424,574.819,935,135,329.619,782,187,639.25
  资产总计21,585,164,705.8220,382,852,399.9520,284,802,574.3619,887,068,452.21
流动负债:
  短期借款1,642,686,627.871,563,528,962.781,656,303,237.472,047,146,071.42
  交易性金融负债58,144,816.545,381,786.151,487,510.75-
  应付票据及应付账款4,771,521,218.874,347,973,665.774,535,124,302.254,348,128,390.33
  其中:应付票据190,468,101.3216,712,823.64207,968,805.33180,021,652.89
        应付账款4,581,053,117.574,131,260,842.134,327,155,496.924,168,106,737.44
  合同负债135,455,811.47108,890,889.7781,238,340.3107,925,808.58
  应付职工薪酬662,612,209.4584,467,071.57540,566,700.18755,256,122.99
  应交税费257,918,517.17266,034,311.36286,557,292.37257,654,230.69
  其他应付款合计533,146,041.33533,364,861.35492,787,725.56563,858,768.23
        应付股利--6,020,932.796,020,932.79
  一年内到期的非流动负债664,339,818.71752,845,236.61877,397,299.311,032,304,027.83
  其他流动负债252,152,062.03202,255,604.65240,380,704.59226,147,956.22
  流动负债合计8,977,977,123.398,364,742,390.018,711,843,112.789,338,421,376.29
非流动负债:
  长期借款5,225,680,765.294,858,373,580.574,571,305,752.123,594,093,018.63
  应付债券---50,958,491.41
  租赁负债548,177,602.53559,906,470.27567,305,830.23543,504,900.54
  长期应付职工薪酬1,049,246,882.621,000,747,308.621,002,889,862.52945,512,890.81
  递延收益35,421,216.326,663,658.6926,696,336.9128,215,514.91
  递延所得税负债448,445,345.76432,598,832.56467,352,385.08349,368,875.7
  其他非流动负债50,197,039.649,243,210.8532,388,362.6227,588,339.06
  非流动负债合计7,357,168,852.16,927,533,061.566,667,938,529.485,539,242,031.06
  负债合计16,335,145,975.4915,292,275,451.5715,379,781,642.2614,877,663,407.35
所有者权益(或股东权益):
  实收资本(或股本)1,268,012,4381,266,076,2411,266,076,2411,266,076,241
  其他权益工具-424,600.39-993,890.75-993,890.75-993,890.75
  资本公积4,832,213,218.814,835,629,840.974,835,629,840.974,834,776,175.15
  减:库存股31,578,00052,686,11052,686,11052,686,110
  其他综合收益70,133,633.1-37,620,383.98-114,973,127.36-34,800,087.66
  专项储备2,223,422.351,996,207.951,771,245.51,570,860.44
  盈余公积238,317,224.87238,317,224.87238,317,224.87200,655,147.4
  未分配利润-1,371,291,744.34-1,420,713,774.94-1,525,152,900.58-1,452,626,864.5
  归属于母公司股东权益合计5,007,605,592.44,830,005,355.124,647,988,523.654,761,971,471.08
  少数股东权益242,413,137.93260,571,593.26257,032,408.45247,433,573.78
  股东权益合计5,250,018,730.335,090,576,948.384,905,020,932.15,009,405,044.86
  负债和股东权益合计21,585,164,705.8220,382,852,399.9520,284,802,574.3619,887,068,452.21
公告日期2025-08-152025-04-302025-03-292024-10-31
审计意见(境内)标准无保留意见
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