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金宏气体

(688106)

  

流通市值:90.77亿  总市值:90.77亿
流通股本:4.87亿   总股本:4.87亿

资产负债表

报告期2024-03-312023-12-312023-09-302023-06-30
公司类型通用通用通用通用
流动资产:
货币资金1,286,212,807.67632,496,272.45977,707,853.94551,829,304.53
应收票据及应收账款551,936,591.87545,370,269.78575,687,755.28538,124,809.84
其中:应收票据141,061,841.05154,375,535.76186,278,432.4158,404,115.38
应收账款410,874,750.82390,994,734.02389,409,322.88379,720,694.46
应收款项融资154,233,062.08158,300,863.22150,459,805.45125,162,671.57
预付款项66,454,920.845,469,926.9175,962,148.2557,669,488.44
其他应收款合计24,678,352.115,242,250.7618,707,507.8218,868,154.53
存货129,879,984.3145,339,572.58109,856,677.4108,636,291.9
其他流动资产92,417,653.6787,164,927.0867,146,178.9753,150,062.98
流动资产平衡项目0000
流动资产合计2,889,600,795.122,448,722,985.532,919,730,241.991,763,688,158.47
非流动资产:
其他权益工具投资32,948,445.2232,948,445.2223,812,264.723,086,264.7
投资性房地产29,313,402.4329,503,912.5730,065,148.6930,626,384.81
固定资产1,478,759,201.131,490,623,568.211,403,885,878.211,376,219,442.4
在建工程1,183,778,234.131,010,676,374.12791,117,796.67586,679,208.32
使用权资产75,641,607.2579,407,917.6660,268,087.262,348,944.36
无形资产348,999,080.36355,832,367.8374,156,488.45348,046,586.21
商誉329,614,509.84329,325,086.13320,809,734.24320,808,911.26
长期待摊费用25,118,660.1232,676,289.1534,041,396.3535,572,738.14
递延所得税资产29,170,045.8928,918,597.3634,531,579.3836,352,718.82
其他非流动资产380,131,385.61401,023,779.26367,418,331.72295,462,111.27
非流动资产平衡项目0000
非流动资产合计3,913,474,571.983,790,936,337.483,440,106,705.613,115,203,310.29
资产平衡项目0000
资产总计6,803,075,367.16,239,659,323.016,359,836,947.64,878,891,468.76
流动负债:
短期借款386,153,990.56240,244,132.65544,029,025.07364,407,844.77
交易性金融负债4,070,0004,070,0005,000,0005,000,000
应付票据及应付账款748,998,568.09860,334,319.91830,719,232.9693,192,815.6
其中:应付票据476,380,672.95550,206,801.43536,344,195.73474,425,927.22
应付账款272,617,895.14310,127,518.48294,375,037.17218,766,888.38
合同负债47,403,957.4942,162,623.6444,687,146.1135,977,322.66
应付职工薪酬40,345,222.5973,302,450.4157,022,283.3850,048,236.37
应交税费31,395,065.1532,535,772.1536,447,904.2635,274,774.02
其他应付款合计67,349,433.6487,867,428.1188,822,142.24101,964,469.2
应付股利--12,25092,532.31
一年内到期的非流动负债89,321,345.1891,972,471.2963,894,802.4776,658,299.44
其他流动负债3,494,602.5510,352,050.524,890,755.693,806,059.93
流动负债平衡项目0000
流动负债合计1,418,532,185.251,442,841,248.681,675,513,292.121,366,329,821.99
非流动负债:
长期借款759,910,041.09281,399,629.54280,420,346.58224,977,772.07
应付债券870,080,211.19861,320,702.79853,414,106.55-
租赁负债28,516,803.3629,546,935.0115,041,874.9626,612,515.24
预计负债10,60010,6004,170,0004,170,000
递延收益47,411,911.247,904,208.9520,743,173.3621,237,881.1
递延所得税负债155,370,118.98156,371,631.07154,845,664.22158,136,524.37
非流动负债平衡项目0000
非流动负债合计1,861,299,685.821,376,553,707.361,328,635,165.67435,134,692.78
负债平衡项目0000
负债合计3,279,831,871.072,819,394,956.043,004,148,457.791,801,464,514.77
所有者权益(或股东权益):
实收资本(或股本)486,943,358486,943,142486,943,142486,882,468
其他权益工具160,080,310.56160,081,255.92160,081,255.92-
资本公积1,705,979,028.371,705,182,299.151,699,600,253.921,697,784,681.28
减:库存股187,259,259.99181,137,680.43154,967,368.69154,967,368.69
其他综合收益1,985,556.491,774,366.06-519,787.991,391,749.62
专项储备24,549,599.5422,290,684.7923,183,528.1425,143,582.23
盈余公积146,203,699.4146,203,699.4115,964,861.08115,964,861.08
未分配利润906,266,391.82829,783,775.59804,190,402.44707,166,273.6
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3,244,748,684.193,171,121,542.483,134,476,286.822,879,366,247.12
少数股东权益278,494,811.84249,142,824.49221,212,202.99198,060,706.87
股东权益平衡项目0000
股东权益合计3,523,243,496.033,420,264,366.973,355,688,489.813,077,426,953.99
负债和股东权益合计6,803,075,367.16,239,659,323.016,359,836,947.64,878,891,468.76
公告日期2024-04-262024-03-262023-10-262023-08-18
审计意见(境内)标准无保留意见
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