苏常柴A

- 000570

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昨收盘:- 今开盘:- 最高价:- 最低价:-
市值:-亿元 流通:- 成交:-手 换手:-
历年数据:  2025  2024  2023  2022  2021  2020  2019  2018  2017  2016  2015 
苏常柴A(000570) 资产负债表
单位:万元
报表日期2025-03-312024-12-312024-09-302024-06-302024-03-31
流动资产
货币资金90,437.28106,370.0561,544.8579,192.0185,667.04
交易性金融资产45,218.7030,366.7544,390.8940,290.0839,207.39
衍生金融资产----------
应收票据及应收账款136,768.9176,306.83138,879.17129,954.17104,091.42
应收票据31,748.7931,881.4013,725.9011,559.2611,360.44
应收账款105,020.1244,425.42125,153.28118,394.9292,730.98
应收款项融资11,911.8422,326.104,889.141,228.234,304.00
预付款项1,581.061,272.601,404.621,444.411,089.48
其他应收款(合计)354.46984.74561.63256.65837.00
应收利息----------
应收股利--716.51------
其他应收款--268.24--256.65--
买入返售金融资产----------
存货58,593.7781,920.2061,670.4361,971.5063,770.49
划分为持有待售的资产----295.15295.15--
一年内到期的非流动资产--------4,077.35
待摊费用----------
待处理流动资产损益----------
其他流动资产2,181.925,460.501,516.681,376.671,124.66
流动资产合计347,047.94325,007.76315,152.56316,008.87304,168.83
非流动资产
发放贷款及垫款----------
可供出售金融资产----------
持有至到期投资----------
长期应收款----------
长期股权投资----------
投资性房地产3,721.673,774.083,826.503,878.923,931.34
在建工程(合计)401.39337.69641.53433.07443.83
在建工程--337.69--430.88--
工程物资------2.19--
固定资产及清理(合计)59,583.0261,541.4562,320.7163,743.5765,658.06
固定资产净额--61,541.45--63,743.57--
固定资产清理----------
生产性生物资产----------
公益性生物资产----------
油气资产----------
使用权资产----------
无形资产14,131.0214,280.5814,390.1414,541.1314,638.06
开发支出----------
商誉----------
长期待摊费用269.67266.46755.95775.97793.96
递延所得税资产832.21645.83417.42417.42151.90
其他非流动资产437.31437.31143.9583.10143.95
非流动资产合计209,659.42213,182.33224,737.87216,909.04226,832.76
资产总计556,707.35538,190.09539,890.43532,917.91531,001.60
流动负债
短期借款16,367.069,447.18------
交易性金融负债----------
应付票据及应付账款126,858.81118,237.72133,681.11134,590.09117,369.15
应付票据59,080.8949,164.3672,383.0475,603.7156,069.37
应付账款67,777.9269,073.3661,298.0658,986.3861,299.78
预收款项3,018.783,018.343,049.963,067.833,064.74
应付手续费及佣金----------
应付职工薪酬1,807.384,879.231,017.351,119.001,991.58
应交税费2,678.84421.43643.74568.473,335.68
其他应付款(合计)13,426.3811,773.7020,570.1020,667.3818,640.06
应付利息----------
应付股利389.14389.14389.14389.14389.14
其他应付款--11,384.55--20,278.23--
预提费用----------
一年内的递延收益----------
应付短期债券----------
一年内到期的非流动负债----------
其他流动负债18,176.0917,506.474,429.665,809.609,168.74
流动负债合计184,612.13168,448.15167,218.05169,574.12157,577.35
非流动负债
长期借款----------
应付债券----------
租赁负债----------
长期应付职工薪酬----------
长期应付款(合计)----------
长期应付款----------
专项应付款----------
预计非流动负债6,510.007,300.29------
递延所得税负债15,272.1515,444.9917,113.8815,505.8017,267.06
长期递延收益2,853.372,938.623,023.863,109.103,279.59
其他非流动负债----------
非流动负债合计24,635.5325,683.8920,137.7418,614.9120,546.65
负债合计209,247.66194,132.03187,355.80188,189.02178,124.00
所有者权益
实收资本(或股本)70,569.2570,569.2570,569.2570,569.2570,569.25
资本公积64,050.9764,050.9764,050.9764,050.9764,050.97
减:库存股----------
其他综合收益62,933.3364,306.7670,119.2262,294.2969,124.72
专项储备2,327.962,195.912,137.322,008.272,002.44
盈余公积36,782.6736,782.6736,369.5636,369.5636,369.56
一般风险准备----------
未分配利润102,734.8698,362.80101,562.66101,936.68103,481.95
归属于母公司股东权益合计339,399.03336,268.35344,808.99337,229.02345,598.89
少数股东权益8,060.667,789.717,725.657,499.877,278.71
所有者权益(或股东权益)合计347,459.69344,058.06352,534.63344,728.89352,877.60
负债和所有者权益(或股东权益)总计556,707.35538,190.09539,890.43532,917.91531,001.60
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