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杭可科技

(688006)

  

流通市值:185.15亿  总市值:185.15亿
流通股本:6.04亿   总股本:6.04亿

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3,437,678,293.663,350,528,801.183,076,257,950.53,071,813,662.9
  交易性金融资产4,956,680.822,915,694.63,165,611.283,318,338.14
  应收票据及应收账款1,737,907,697.831,653,622,337.711,780,836,555.321,889,577,486.22
  其中:应收票据116,785,896.2385,818,770.5885,893,901.5974,768,516
        应收账款1,621,121,801.61,567,803,567.131,694,942,653.731,814,808,970.22
  应收款项融资57,440,709.4135,801,764.9354,339,791.516,649,074.05
  预付款项84,725,574.384,897,619.5240,275,329.2437,550,117.9
  其他应收款合计47,649,992.839,389,959.4166,278,199.6528,593,110.97
  存货2,584,206,718.22,421,783,962.242,872,924,947.362,913,112,944.1
  合同资产257,422,488.95189,276,085.47204,972,159.25215,231,131.71
  其他流动资产36,214,159.71221,014,486.0633,816,033.065,920,050.57
  流动资产合计8,248,202,315.687,999,230,711.128,132,866,577.168,181,765,916.56
非流动资产:
  固定资产1,121,036,295.251,143,137,261.161,150,365,319.511,168,467,242.98
  在建工程108,903,549.4387,502,102.9471,065,376.4959,296,921.42
  使用权资产---351,259.28
  无形资产217,487,702.03209,103,539.82194,562,745.18197,060,570.91
  长期待摊费用5,054,010.816,954,523.757,442,707.197,952,097.02
  递延所得税资产118,596,076.55109,849,070.2899,439,795.1100,807,940.15
  其他非流动资产25,907,409.3540,304,835.1940,488,255.6953,773,626.28
  非流动资产合计1,596,985,043.421,596,851,333.141,563,364,199.161,587,709,658.04
  资产总计9,845,187,359.19,596,082,044.269,696,230,776.329,769,475,574.6
流动负债:
  短期借款-20,607,564-7,460,020.44
  应付票据及应付账款1,796,852,904.381,769,369,615.261,724,940,789.221,949,815,513.86
  其中:应付票据935,768,184.89786,079,479.52794,675,518.68871,912,290.66
        应付账款861,084,719.49983,290,135.74930,265,270.541,077,903,223.2
  预收款项2,094,636.35584,6001,843,092.16584,600
  合同负债2,354,696,435.712,224,259,502.542,500,251,323.32,441,110,317.38
  应付职工薪酬34,343,50817,166,6728,379,293.4731,722,475.94
  应交税费34,048,976.9724,109,506.7214,628,795.6635,922,939.17
  其他应付款合计1,927,313.082,009,971.6655,170,612.119,963,259.86
  其他流动负债93,648,848.6398,698,434.05103,983,841.5288,187,086.64
  流动负债合计4,317,612,623.124,156,805,866.234,409,197,747.444,564,766,213.29
非流动负债:
  递延收益52,079,447.2254,367,787.9747,862,749.139,911,270.42
  非流动负债合计52,079,447.2254,367,787.9747,862,749.139,911,270.42
  负债合计4,369,692,070.344,211,173,654.24,457,060,496.544,604,677,483.71
所有者权益(或股东权益):
  实收资本(或股本)603,672,152603,672,152603,672,152603,672,152
  资本公积2,358,219,389.572,356,717,763.432,353,714,511.152,353,714,511.15
  其他综合收益-4,824,129.893,764,306.76-1,861,501.164,530,095.9
  专项储备70,769.0670,769.0670,769.0670,769.06
  盈余公积301,836,076301,836,076301,836,076301,836,076
  未分配利润2,216,521,032.022,118,847,322.811,981,738,272.731,900,974,486.78
  归属于母公司股东权益合计5,475,495,288.765,384,908,390.065,239,170,279.785,164,798,090.89
  股东权益合计5,475,495,288.765,384,908,390.065,239,170,279.785,164,798,090.89
  负债和股东权益合计9,845,187,359.19,596,082,044.269,696,230,776.329,769,475,574.6
公告日期2025-10-282025-08-292025-04-292025-04-29
审计意见(境内)标准无保留意见
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