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首页 公告 华菱钢铁:半年度非经营性资金占用及其他关联资金往来情况汇总表

华菱钢铁:半年度非经营性资金占用及其他关联资金往来情况汇总表

公告日期:2025-08-19


                                            湖南华菱钢铁股份有限公司

                            2025 年半年度非经营性资金占用及其他关联资金往来情况汇总表

                                                                                                                                    单位:万元

                                      占用方与                                2025年度占用  2025 年度                2025 年期末

 非经营性资金占用    资金占用方名称  上市公司  上市公司核算的  2025 年期初  累计发生金额  占用资金  2025 年度偿还  占用资金余  占用形成原    占用性质
                                      的关联关    会计科目    占用资金余额  (不含利息)  的利息(如  累计发生金额      额          因

                                          系                                                      有)

控股股东、实际控制                -          -              -            -            -          -              -            -          -  非经营性占用

  人及其附属企业                  -          -              -            -            -          -              -            -          -  非经营性占用

      小  计                        -          -              -            -            -          -              -            -          -              -

前控股股东、实际控                -          -              -            -            -          -              -            -          -  非经营性占用

 制人及其附属企业                  -          -              -            -            -          -              -            -          -  非经营性占用

      小  计                        -          -              -            -            -          -              -            -          -              -

其他关联方及其附属                -          -              -            -            -          -              -            -          -  非经营性占用
      企业                        -          -              -            -            -          -              -            -          -  非经营性占用

      小  计                        -          -              -            -            -          -              -            -          -              -

      总  计                        -          -              -            -            -          -              -            -          -              -

                                      往来方与                                2025年度往来  2025 年度                2025 年期末                往来性质
 其它关联资金往来    资金往来方名称  上市公司  上市公司核算的  2025 年期初  累计发生金额  往来资金  2025 年度偿还  往来资金余  往来形成原  (经营性往
                                      的关联关    会计科目    往来资金余额  (不含利息)    的利息    累计发生金额      额          因      来、 非经营性
                                          系                                                    (如有)                                            往来 )

控股股东、实际控制  湖南钢铁集团及下  控股股东                                                                                        买卖湖南钢

  人及其附属企业    属子公司(不包括  及附属企  交易性金融资产    106,691.17      21,451.68    1,205.38      58,734.10    70,614.13  铁集团公司  经营性往来
                    湘钢集团、涟钢集  业                                                                                              债


                                                应收账款                0.87                                    0.87        0.00  提供劳务    经营性往来

                                                应收款项融资        2,050.25      1,583.50                  2,050.25    1,583.51  销售商品    经营性往来

                                                预付款项              494.45      24,359.15                  24,342.94      510.66  采购商品    经营性往来

                                                其他应收款              1.63        162.63                                  164.26  押金保证金  经营性往来

                                                发放贷款及垫款    460,936.09    939,287.00    3,812.22    961,995.99  442,039.32  贷款及贴现  经营性往来

                                                应收票据            3,665.00      49,235.61                  5,610.00    47,290.61  销售商品    经营性往来

                                                应收账款            8,068.98      13,963.62                  12,256.73    9,775.86  销售商品    经营性往来

                    湘钢集团及下属子  控股股东  应收款项融资                      308,120.34                292,897.82    15,222.52  销售商品    经营性往来
                          公司        及附属企  预付款项              908.23    102,691.10                103,156.30      443.02  采购商品    经营性往来
                                      业

                                                其他应收款                          3,905.39                  3,899.61        5.78  押金保证金  经营性往来

                                                发放贷款及垫款    148,935.00      68,320.00      972.13      94,172.13  124,055.00  贷款及贴现  经营性往来

                                      控股股东  应收账款            10,588.66      14,800.72                  15,078.80    10,310.58  销售商品    经营性往来
                    涟钢集团及下属子  及附属企  预付款项                0.41        178.25                      0.41      178.25  采购商品    经营性往来
                          公司        业

                                                发放贷款及垫款    117,000.00    107,000.00    1,110.94    108,110.94  117,000.00  贷款及贴现  经营