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金天钛业

(688750)

  

流通市值:19.36亿  总市值:107.58亿
流通股本:8325.00万   总股本:4.63亿

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301,477,996.83491,002,398.98619,548,343.82278,865,334.14
  应收票据及应收账款1,104,731,477.771,116,164,520.681,060,611,511.481,078,468,387.43
  其中:应收票据102,680,334.35131,843,088.52154,641,070.35196,460,618.86
        应收账款1,002,051,143.42984,321,432.16905,970,441.13882,007,768.57
  应收款项融资36,562,452.8328,024,104.4120,811,627.218,123,025.58
  预付款项807,656.011,830,699.882,053,037.85,003,162.07
  其他应收款合计2,062,742.193,447,428.631,968,615.011,884,565.77
  存货408,516,680.67385,717,471.51356,737,936.41387,712,012.02
  一年内到期的非流动资产---110,555,184.5
  其他流动资产459,412,767.75301,903,688.53300,213,114.754,494,150.87
  流动资产合计2,313,571,774.052,328,090,312.622,361,944,186.471,885,105,822.38
非流动资产:
  其他债权投资346,113,797.88344,072,513.76342,053,661.24240,044,590.22
  投资性房地产8,365,654.068,441,282.538,516,9118,592,539.46
  固定资产452,367,177.13467,356,598.2482,994,872.2496,495,854.1
  在建工程172,882,387.6954,699,163.652,788,270.515,202,380.15
  使用权资产1,913,177.591,868,814.472,340,782.152,567,133
  无形资产41,884,943.3142,298,846.2842,675,620.4243,052,394.56
  递延所得税资产26,650,123.5827,815,209.3826,859,485.221,267,300.4
  其他非流动资产70,064,297.6455,197,486.0849,469,887.8339,078,600
  非流动资产合计1,120,241,558.881,001,749,914.31,007,699,490.54866,300,791.89
  资产总计3,433,813,332.933,329,840,226.923,369,643,677.012,751,406,614.27
流动负债:
  应付票据及应付账款592,957,243.93480,516,403.96498,767,711.81556,423,704.78
  其中:应付票据168,005,623.18193,632,032.64210,575,998.05229,110,762.08
        应付账款424,951,620.75286,884,371.32288,191,713.76327,312,942.7
  合同负债423,074.122,080,555640,660.521,853,061.18
  应付职工薪酬22,345,266.0815,516,244.4835,768,427.2931,657,045.77
  应交税费1,021,697.056,814,459.9215,516,796.656,402,765.27
  其他应付款合计4,534,827.45,034,431.627,245,814.116,059,075.95
  一年内到期的非流动负债3,664,126.952,647,851.342,919,442.021,903,364.52
  其他流动负债1,757,850.82270,472.1583,285.87233,754.25
  流动负债合计626,704,086.35512,880,418.47560,942,138.27604,532,771.72
非流动负债:
  长期借款297,000,000298,000,000298,000,000299,000,000
  租赁负债900,836.52974,789.22954,304.121,413,345.51
  递延收益64,064,130.7465,808,201.4767,833,148.1927,291,989.01
  递延所得税负债286,976.64280,322.17351,117.32385,069.95
  非流动负债合计362,251,943.9365,063,312.86367,138,569.63328,090,404.47
  负债合计988,956,030.25877,943,731.33928,080,707.9932,623,176.19
所有者权益(或股东权益):
  实收资本(或股本)462,500,000462,500,000462,500,000370,000,000
  资本公积1,546,266,257.351,546,266,257.351,546,266,257.351,051,448,548.02
  专项储备13,699,641.2812,987,735.312,089,469.811,491,719.66
  盈余公积42,070,724.1942,070,724.1942,070,724.1926,899,264.6
  未分配利润380,320,679.86388,071,778.75378,636,517.77358,943,905.8
  归属于母公司股东权益合计2,444,857,302.682,451,896,495.592,441,562,969.111,818,783,438.08
  股东权益合计2,444,857,302.682,451,896,495.592,441,562,969.111,818,783,438.08
  负债和股东权益合计3,433,813,332.933,329,840,226.923,369,643,677.012,751,406,614.27
公告日期2025-08-302025-04-302025-04-102024-11-19
审计意见(境内)标准无保留意见
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