华升泵阀 (831658.OC)

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资产负债表(华升泵阀)

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完整财报对比
2024年中报2023年年报2023年中报2022年年报2022年中报
上市前/上市后 上市后上市后上市后上市后上市后
报表类型 合并报表合并报表合并报表合并报表合并报表
流动资产:
 货币资金(元) 164,189,313.81189,513,918.21187,321,617.58124,542,950.6593,695,986.69
  其中:交易性金融资产(元) 20,181,451.31----
 应收票据及应收账款(元) 166,770,845.95142,012,266.6498,495,411.46131,908,947.8598,971,215.82
  其中:应收票据(元) 37,700,522.6414,231,745.3512,326,489.8517,600,330.95-
  其中:应收账款(元) 129,070,323.31127,780,521.2986,168,921.61114,308,616.9098,971,215.82
 预付款项(元) 30,592,630.1816,194,192.7411,905,216.596,058,227.5916,063,864.38
 其他应收款(元) 4,100,566.674,844,357.594,504,912.003,449,578.556,302,818.01
 存货(元) 145,690,254.35107,344,193.3790,232,886.7279,949,510.55109,795,690.03
 合同资产(元) 26,682,795.6620,959,166.2328,336,141.4428,082,629.66-
 其他流动资产(元) 5,236,272.442,767,975.842,499,774.743,878,702.08-
 流动资产合计(元) 575,541,522.27487,291,230.62440,004,215.91379,241,546.93324,865,996.27
非流动资产:
 投资性房地产(元) 6,072,145.367,674,055.656,531,337.156,697,396.6912,237,782.63
 固定资产(元) 53,871,754.1153,022,157.8850,569,929.9951,855,576.9442,189,627.62
 在建工程(元) 104,990,457.7549,605,185.2333,246,762.8511,031,660.055,478,807.70
 使用权资产(元) 603,145.32397,387.10720,470.97316,308.28-
 无形资产(元) 10,745,063.2110,173,220.489,883,347.7110,093,035.3810,147,831.88
 长期待摊费用(元) 352,663.47402,680.61587,696.42775,613.723,384,209.98
 递延所得税资产(元) 4,481,779.174,533,582.613,125,178.223,688,985.952,085,521.83
 其他非流动资产(元) 19,344,522.3417,986,050.261,257,375.265,047,597.13-
 非流动资产合计(元) 200,461,530.73143,794,319.82105,922,098.5789,506,174.1475,523,781.64
资产总计(元) 776,003,053.00631,085,550.44545,926,314.48468,747,721.07400,389,777.91
流动负债:
 短期借款(元) 33,929,553.4214,914,142.4719,917,164.1024,922,094.2533,000,000.00
 应付票据及应付账款(元) 67,547,584.4649,128,884.1733,405,703.7941,813,772.8961,998,994.62
  其中:应付票据(元) 15,133,620.0012,756,445.701,006,423.009,686,660.0012,945,378.66
  其中:应付账款(元) 52,413,964.4636,372,438.4732,399,280.7932,127,112.8949,053,615.96
 合同负债(元) 123,024,933.7683,281,792.4468,682,563.5854,351,868.8764,032,820.03
 应付职工薪酬(元) 12,072,510.8817,962,956.068,541,539.9812,094,904.677,358,064.12
 应交税费(元) 3,491,429.188,180,778.421,664,366.9118,933,555.1310,934,266.64
 其他应付款(元) 3,464,046.104,139,315.413,079,939.592,577,065.852,323,045.83
 一年内到期的非流动负债(元) 6,547,830.89197,946.1137,687.66121,436.12-
 其他流动负债(元) 42,367,282.3317,401,260.5020,893,430.6524,299,131.57455,475.68
 流动负债合计(元) 292,445,171.02195,207,075.58156,222,396.26179,113,829.35180,102,666.92
非流动负债:
 长期借款(元) 77,738,660.3137,755,509.7012,519,619.50--
 租赁负债(元) 309,663.29142,533.90469,215.04316,308.28-
 专项应付款(元) ----243,023.14
 预计负债(元) 1,646,159.121,435,258.071,635,061.181,894,944.901,167,777.44
 递延收益(元) 1,542,857.141,714,285.71---
 非流动负债合计(元) 81,237,339.8641,047,587.3814,623,895.722,211,253.181,410,800.58
负债合计(元) 373,682,510.88236,254,662.96170,846,291.98181,325,082.53181,513,467.50
所有者权益(或股东权益):
 实收资本或股本(元) 85,650,000.0085,650,000.0085,650,000.0079,450,000.0075,001,700.00
 资本公积(元) 242,562,490.95238,087,699.09233,612,907.26158,125,134.29137,359,563.11
 专项储备(元) 802,945.36----
 盈余公积(元) 16,269,259.0816,269,259.0812,573,717.5812,573,717.588,649,609.27
 未分配利润(元) 56,945,173.2254,802,224.2843,257,556.9437,230,442.89-2,926,062.87
 归属于母公司股东权益合计(元) 402,229,868.61394,809,182.45375,094,181.78287,379,294.76218,084,809.51
 少数股东权益(元) 90,673.5121,705.03-14,159.2843,343.78791,500.90
 股东权益合计(元) 402,320,542.12394,830,887.48375,080,022.50287,422,638.54218,876,310.41
负债和股东权益合计(元) 776,003,053.00631,085,550.44545,926,314.48468,747,721.07400,389,777.91
公告日期 2024-08-302024-04-232023-08-282023-04-172022-08-23
审计意见(境内) 标准无保留意见标准无保留意见
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