当前位置:首页 - 行情中心 - 华润双鹤(600062) - 财务分析 - 资产负债表

华润双鹤

(600062)

  

流通市值:199.40亿  总市值:200.60亿
流通股本:10.33亿   总股本:10.39亿

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3,120,287,100.492,850,724,187.862,705,700,518.282,274,540,858.74
应收票据及应收账款2,401,418,051.961,764,693,782.142,013,000,011.732,109,259,891.54
应收账款2,401,418,051.961,764,693,782.142,013,000,011.732,109,259,891.54
应收款项融资710,118,071.55832,896,120.29642,755,692.49786,593,287.57
预付款项216,306,763.82151,810,456.55259,978,551.31243,854,143.44
其他应收款合计118,543,861.77183,883,236.1559,825,393.2657,877,531.14
应收股利15,792,00094,488,800--
存货1,495,367,806.761,594,057,842.531,538,362,778.021,583,931,772.45
合同资产1,805,160---
一年内到期的非流动资产925,000925,0009,622,715.569,622,715.56
其他流动资产87,644,916.197,933,659.5953,941,827.3976,511,924.83
流动资产平衡项目0000
流动资产合计8,152,416,732.457,476,924,285.117,283,187,488.047,142,192,125.27
非流动资产:
长期应收款2,168,300.782,372,119.622,566,579.572,761,423.12
长期股权投资1,034,892,815.651,036,209,583.351,102,471,472.371,055,504,306.45
其他非流动金融资产11,999,898.2511,999,898.2514,358,374.9514,358,374.95
投资性房地产79,636,889.0279,436,484.9778,495,058.9177,753,542.85
固定资产3,678,044,191.713,751,330,250.313,724,957,345.253,719,560,307.56
在建工程512,623,033.03455,136,028.02387,999,518.52366,180,424.55
使用权资产36,475,741.3931,476,021.8940,317,519.845,135,659.04
无形资产1,714,441,665.331,748,945,114.111,973,327,821.11,732,080,250.56
开发支出660,997,329.8724,738,514.33746,005,007.95774,780,078.79
商誉878,487,630.37878,487,630.37907,897,630.37907,897,630.37
长期待摊费用18,665,566.8320,177,647.8621,238,416.8222,728,660.16
递延所得税资产103,900,695.97135,797,386.32129,361,660.03133,619,966.79
其他非流动资产404,395,976.98332,964,715.26133,129,591.69111,209,121.63
非流动资产平衡项目0000
非流动资产合计9,136,729,735.119,209,071,394.669,262,125,997.338,963,569,746.82
资产平衡项目0000
资产总计17,289,146,467.5616,685,995,679.7716,545,313,485.3716,105,761,872.09
流动负债:
短期借款60,920,83063,553,379.8965,553,379.8973,877,979.89
应付票据及应付账款717,132,280.18835,814,609.37722,735,627.79797,048,535.66
其中:应付票据24,897,651.1519,389,98724,271,81321,572,137
应付账款692,234,629.03816,424,622.37698,463,814.79775,476,398.66
合同负债239,695,937.54174,879,572.18233,713,328.77286,508,985.63
应付职工薪酬332,071,051.46484,022,315.18426,873,132.8384,303,847.97
应交税费224,378,560.1123,042,018.05153,880,293.42147,649,978.03
其他应付款合计2,490,289,566.62,276,374,171.122,919,960,732.183,142,272,131.02
应付股利200,000,000200,000,000403,931,918.8567,105,031.35
一年内到期的非流动负债19,868,038.4732,187,781.620,972,625.4322,866,208.02
其他流动负债2,746,154.112,918,233.9424,206,780.5526,281,743.27
流动负债平衡项目0000
流动负债合计4,087,102,418.454,002,792,081.334,567,895,900.834,880,809,409.49
非流动负债:
长期借款1,089,650,888.991,089,777,770.18599,914,764.44100,156,986.66
租赁负债29,361,456.6222,096,817.0225,078,976.4829,305,462.83
长期应付款4,000,0004,000,0004,000,0004,000,000
长期应付职工薪酬168,299,531.74169,638,000146,936,666.48147,320,314.99
预计负债1,667,341.281,667,341.281,667,341.281,667,341.28
递延收益149,890,384.21160,666,754.95163,493,803.17169,487,696.07
递延所得税负债119,397,602.71123,601,997.56147,603,049.21151,611,456.55
非流动负债平衡项目0000
非流动负债合计1,562,267,205.551,571,448,680.991,088,694,601.06603,549,258.38
负债平衡项目0000
负债合计5,649,369,6245,574,240,762.325,656,590,501.895,484,358,667.87
所有者权益(或股东权益):
实收资本(或股本)1,038,836,5221,038,894,7221,039,319,1881,039,656,801
资本公积197,047,637.53193,447,637.53190,385,198.74181,985,198.73
减:库存股73,997,770.9174,360,065.9680,623,577.4487,360,924.59
其他综合收益-30,474,526.77-30,474,482.15-6,117,383.69-6,934,261.91
专项储备12,724,570.711,174,611.038,568,445.0710,748,366.53
盈余公积24,212,209.0724,212,209.07--
未分配利润9,751,340,557.799,244,970,300.489,042,180,739.868,796,049,537.64
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10,919,689,199.4110,407,864,93210,193,712,610.549,934,144,717.4
少数股东权益720,087,644.15703,889,985.45695,010,372.93687,258,486.82
股东权益平衡项目000.010
股东权益合计11,639,776,843.5611,111,754,917.4510,888,722,983.4810,621,403,204.22
负债和股东权益合计17,289,146,467.5616,685,995,679.7716,545,313,485.3716,105,761,872.09
公告日期2025-04-262025-03-202024-10-262024-08-23
审计意见(境内)标准无保留意见
TOP↑
OSZAR »