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盐湖股份

(000792)

  

流通市值:857.23亿  总市值:857.23亿
流通股本:52.92亿   总股本:52.92亿

资产负债表

报告期2025-03-312024-12-312024-09-302024-06-30
公司类型通用通用通用通用
流动资产:
货币资金13,864,068,254.8215,623,633,120.2915,097,372,901.5918,984,371,995.5
应收票据及应收账款4,563,002,288.924,547,219,944.626,304,634,104.986,632,122,153
其中:应收票据4,375,217,348.794,382,531,985.046,147,582,874.216,397,799,616.85
应收账款187,784,940.13164,687,959.58157,051,230.77234,322,536.15
应收款项融资70,112,146.8724,971,717.88177,277,364.5131,305,682.85
预付款项256,971,101.33227,764,910.96623,651,267.1492,986,969.03
其他应收款合计12,036,001.2693,343,932.1657,075,979.8652,626,037.53
存货999,089,062.99984,228,201.391,359,712,659.971,152,812,002.11
其他流动资产9,212,669,859.566,254,997,431.448,906,349,512.65294,529,574.17
流动资产平衡项目0000
流动资产合计28,983,981,079.1527,761,401,669.7932,531,684,846.1328,696,586,953.49
非流动资产:
长期股权投资394,500,135.17380,693,769.49343,544,008.2239,982,287.4
其他权益工具投资738,855,859.58738,855,859.58679,059,094.91679,059,094.91
其他非流动金融资产4,579,357.34,579,357.3--
投资性房地产231,410,426.2191,014,430.4885,316,850.8885,935,553.76
固定资产8,296,419,275.698,621,838,274.788,445,156,656.448,348,895,544.99
在建工程2,050,508,991.291,864,405,132.231,362,249,781.64706,212,612.05
使用权资产104,310,489.01107,091,088.86107,461,895.72110,073,011.98
无形资产879,563,740.74892,411,824.09874,787,823.64881,285,464.23
开发支出--5,244,010.494,576,212.12
商誉3,928,667.243,928,667.243,928,667.243,928,667.24
长期待摊费用27,596,720.7728,861,463.1731,674,338.2832,939,080.68
递延所得税资产609,952,217.34714,065,664.46982,812,647.81,117,841,295.15
其他非流动资产4,442,819,165.924,573,703,733.384,211,408,436.538,010,180,313.5
非流动资产平衡项目0000
非流动资产合计17,784,445,046.2618,021,449,265.0617,132,644,211.7720,220,909,138.01
资产平衡项目0000
资产总计46,768,426,125.4145,782,850,934.8549,664,329,057.948,917,496,091.5
流动负债:
短期借款12,239,91911,303,485.83-3,000,000
应付票据及应付账款1,634,586,750.31,857,116,198.462,309,628,261.192,149,624,972.78
其中:应付票据31,848,831.1534,003,081.6919,796,219.6512,576,235.36
应付账款1,602,737,919.151,823,113,116.772,289,832,041.542,137,048,737.42
预收款项3,967,415.27,700,338.955,525,807.935,130,026.63
合同负债965,999,650.71744,537,485.611,106,142,572.471,200,059,227.81
应付职工薪酬133,275,021.45207,009,923.19333,725,868.13568,964,906.63
应交税费198,630,676.44164,121,808.99143,740,999.75265,944,259.89
其他应付款合计287,164,653.87511,902,185.09734,565,286.74667,355,675.22
其中:应付利息--146,662,025.91121,656,655.89
应付股利7,534,381.967,534,381.967,534,381.967,534,381.96
一年内到期的非流动负债208,593,790.54214,017,019.644,393,223,367.534,507,362,279.59
其他流动负债87,894,536.7369,589,491.82113,984,955.15116,811,999.9
流动负债平衡项目0000
流动负债合计3,532,352,414.243,787,297,937.589,140,537,118.899,484,253,348.45
非流动负债:
长期借款204,875,015209,000,012211,081,100.45204,493,666.28
租赁负债82,867,245.4681,742,950.4299,391,623.4598,592,717.82
长期应付款1,635,473,774.311,635,473,774.311,814,779,286.311,814,779,286.31
预计负债65,045,337.165,045,337.163,960,137.163,960,137.1
递延收益365,799,800.13370,745,818.83194,219,564.46148,345,662.79
递延所得税负债39,657,742.3239,511,360.5636,596,929.6143,859,915.79
非流动负债平衡项目0000
非流动负债合计2,393,718,914.322,401,519,253.222,420,028,641.382,374,031,386.09
负债平衡项目0000
负债合计5,926,071,328.566,188,817,190.811,560,565,760.2711,858,284,734.54
所有者权益(或股东权益):
实收资本(或股本)5,291,572,5415,432,876,6725,432,876,6725,432,876,672
资本公积39,341,518,698.0740,776,182,130.6340,760,870,825.140,760,870,825.1
减:库存股-1,575,967,563.561,575,967,563.561,575,967,563.56
其他综合收益199,135,682.41199,112,370.49199,716,061.87199,716,061.87
专项储备188,624,515.8202,035,051.45224,371,090.47217,263,541.37
盈余公积1,939,006,250.161,939,006,250.161,939,006,250.161,939,006,250.16
未分配利润-9,253,949,996.49-10,398,457,173.66-11,920,323,044.56-12,849,247,753.16
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37,705,907,690.9536,574,787,737.5135,060,550,291.4834,124,518,033.78
少数股东权益3,136,447,105.93,019,246,006.543,043,213,006.152,934,693,323.18
股东权益平衡项目0000
股东权益合计40,842,354,796.8539,594,033,744.0538,103,763,297.6337,059,211,356.96
负债和股东权益合计46,768,426,125.4145,782,850,934.8549,664,329,057.948,917,496,091.5
公告日期2025-04-242025-03-292024-10-292024-08-30
审计意见(境内)标准无保留意见
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