当前位置:首页 - 行情中心 - 华兴源创(688001) - 财务分析 - 资产负债表

华兴源创

(688001)

  

流通市值:121.28亿  总市值:121.28亿
流通股本:4.45亿   总股本:4.45亿

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471,320,103.77424,654,514.2501,632,696.43515,756,464.83
  交易性金融资产6,000,000-10,946,139.3811,413,267.14
  应收票据及应收账款1,677,668,368.551,538,068,379.631,325,874,585.091,459,480,352.65
  其中:应收票据21,377,480.7313,348,263.866,743,913.363,972,438.17
        应收账款1,656,290,887.821,524,720,115.771,319,130,671.731,455,507,914.48
  应收款项融资52,869,878.5870,031,191.3543,871,873.7712,247,707.75
  预付款项20,625,141.1924,708,328.1517,773,964.5721,492,857.6
  其他应收款合计20,196,588.2920,111,567.5920,962,992.2217,692,746.7
  存货968,768,675.65957,290,258.85927,103,566.99783,500,870.49
  合同资产45,515,358.6345,515,358.6357,642,103.8657,642,103.86
  其他流动资产410,660,692.51384,234,084.04288,428,875.87213,082,268.69
  流动资产合计3,673,624,807.173,464,613,682.443,194,236,798.183,092,308,639.71
非流动资产:
  长期股权投资3,859,722.784,059,843.124,293,479.344,502,189.1
  其他非流动金融资产116,456,600.58152,628,630.71137,589,145.9128,046,834.65
  固定资产1,346,827,938.291,375,647,390.51,401,155,596.491,429,760,192.57
  在建工程7,799,267.158,490,910.117,174,626.015,961,330.06
  使用权资产50,751,265.535,506,344.8739,953,619.4944,268,022.17
  无形资产195,296,839.38200,977,716.61208,140,538.74215,473,217.98
  商誉291,028,950.39291,028,950.39291,028,950.39291,028,950.39
  长期待摊费用20,954,029.1522,616,482.1821,596,377.1220,264,954.73
  递延所得税资产30,156,234.4128,607,579.1829,395,926.0228,842,783.47
  其他非流动资产6,041,786.815,300,091.43,856,894.173,521,531.22
  非流动资产合计2,069,172,634.442,124,863,939.072,144,185,153.672,171,670,006.34
  资产总计5,742,797,441.615,589,477,621.515,338,421,951.855,263,978,646.05
流动负债:
  短期借款456,093,049.99478,527,731.77444,791,839.55277,011,575.43
  应付票据及应付账款694,979,318.41594,316,457.12529,932,475.37603,577,310.9
  其中:应付票据167,345,766.692,857,923.7477,112,649.6254,362,747.72
        应付账款527,633,551.81501,458,533.38452,819,825.75549,214,563.18
  合同负债107,319,223.5109,183,184.3584,748,363.5144,208,019.57
  应付职工薪酬39,965,868.5538,481,079.3142,343,187.7456,349,449.04
  应交税费35,669,487.9143,957,154.958,925,008.1517,466,632.98
  其他应付款合计29,761,623.9329,520,632.9221,518,550.2721,037,955.45
  一年内到期的非流动负债29,197,272.4821,053,576.0117,117,288.5318,062,766.73
  其他流动负债8,885,766.029,000,503.296,747,966.212,553,535.96
  流动负债合计1,401,871,610.791,324,040,319.721,156,124,679.331,040,267,246.06
非流动负债:
  应付债券723,846,483.16718,210,996.88715,144,637.75707,056,859.3
  租赁负债33,012,902.7423,377,810.8327,048,831.9430,343,038.91
  递延收益37,925,522.0638,850,272.5439,775,023.0240,727,408.72
  递延所得税负债19,666,080.0320,842,433.8320,547,616.921,570,912.66
  非流动负债合计814,450,987.99801,281,514.08802,516,109.61799,698,219.59
  负债合计2,216,322,598.782,125,321,833.81,958,640,788.941,839,965,465.65
所有者权益(或股东权益):
  实收资本(或股本)445,377,843445,377,843445,377,843445,377,805
  其他权益工具61,136,029.4560,062,266.2274,317,159.4674,317,159.46
  资本公积2,394,639,167.92,395,712,931.132,403,357,895.392,403,357,053.03
  减:库存股81,427,952.2274,647,458.0171,646,811.1757,394,124.77
  其他综合收益-4,602,270.69-659,411.71-1,057,704.5-1,434,878.92
  盈余公积138,046,219.63138,046,219.63138,046,219.63138,046,219.63
  未分配利润573,305,805.76500,263,397.45391,386,561.1421,743,946.97
  归属于母公司股东权益合计3,526,474,842.833,464,155,787.713,379,781,162.913,424,013,180.4
  股东权益合计3,526,474,842.833,464,155,787.713,379,781,162.913,424,013,180.4
  负债和股东权益合计5,742,797,441.615,589,477,621.515,338,421,951.855,263,978,646.05
公告日期2025-10-312025-08-302025-04-302025-04-30
审计意见(境内)标准无保留意见
TOP↑