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精工科技

(002006)

  

流通市值:113.57亿  总市值:113.57亿
流通股本:5.20亿   总股本:5.20亿

资产负债表

报告期2025-09-302025-06-302025-03-312024-12-31
公司类型通用通用通用通用
流动资产:
  货币资金899,523,413.9755,251,654.581,119,526,309.171,658,528,632.09
  交易性金融资产240,000,000410,000,000330,000,0000
  应收票据及应收账款1,155,124,295.121,289,623,124.14992,687,123.41899,564,487.18
  其中:应收票据106,281,783.11109,706,00012,336,961.3223,902,612.82
        应收账款1,048,842,512.011,179,917,124.14980,350,162.09875,661,874.36
  应收款项融资21,165,709.9249,054,315.9411,483,208.6560,555,009.77
  预付款项214,498,023.33117,238,005.97211,506,440.78127,365,551.83
  其他应收款合计3,915,519.6735,494,985.344,199,941.649,316,203.28
  其中:应收利息0--0
  买入返售金融资产-00-
  存货380,676,978.47326,539,882.92466,015,371.27449,980,590.88
  合同资产38,176,545.9736,350,972.9747,376,205.9345,785,564.76
  其他流动资产43,551,855.5714,849,609.9315,106,964.6111,326,653.08
  流动资产合计2,996,632,341.953,034,402,551.793,197,901,565.463,262,422,692.87
非流动资产:
  发放委托贷款及垫款0-00
  债权投资0-00
  其他债权投资0-00
  长期应收款0-00
  长期股权投资32,646,456.2233,064,514.0863,571,341.530,814,872.73
  其他非流动金融资产105,403,687.5388,204,17856,430,87056,430,870
  投资性房地产15,151,491.2415,290,070.8115,424,637.8115,567,229.93
  固定资产514,474,814.21484,030,546.87451,179,438.09457,420,441.19
  在建工程210,404,795.42153,314,255.89124,047,353.9798,042,590.27
  使用权资产63,690,487.6655,425,498.2356,290,200.0947,005,448.58
  无形资产133,296,965.28101,412,953.44101,652,221.59102,391,292.85
  长期待摊费用25,884,604.4428,188,187.531,203,545.327,031,234.01
  递延所得税资产39,043,437.5943,876,778.9739,635,144.0736,469,204.05
  其他非流动资产41,347,476.7912,141,179.7222,966,1409,252,524
  非流动资产合计1,181,344,216.381,014,948,163.51962,400,892.42880,425,707.61
  资产总计4,177,976,558.334,049,350,715.34,160,302,457.884,142,848,400.48
流动负债:
  短期借款273,285,377.78348,673,958.33438,240,802.78411,006,043.42
  吸收存款及同业存放-000
  应付票据及应付账款1,093,983,278.42938,432,006.741,019,330,691.721,019,694,506.96
  其中:应付票据428,898,982.71360,990,650413,996,735343,989,594.26
        应付账款665,084,295.71577,441,356.74605,333,956.72675,704,912.7
  预收款项193,20924,0303,2003,200
  合同负债95,054,169.5284,088,177.79111,254,579.25139,637,691.3
  卖出回购金融资产款-000
  应付职工薪酬19,484,019.4517,577,745.4117,869,170.7657,407,227.04
  应交税费14,730,582.4918,141,513.044,972,530.1921,468,185.44
  其他应付款合计82,316,291.04166,219,694.0590,545,165.5191,224,642.89
  其中:应付利息0--0
        应付股利083,952,518.7-0
  应付分保账款-00-
  保险合同准备金-000
  代理买卖证券款-000
  代理承销证券款-000
  一年内到期的非流动负债07,268,201.666,625,490.046,598,967.62
  其他流动负债11,043,399.2411,572,340.1412,001,907.5411,918,695.38
  流动负债合计1,590,090,326.941,591,997,667.161,700,843,537.791,758,959,160.05
非流动负债:
  长期借款81,031,250000
  租赁负债64,915,096.1150,078,437.5452,186,761.1541,796,481.49
  长期应付款82,028.264,488,088.585,021,006.035,441,548.34
  递延收益38,360,462.534,217,82528,833,642.7710,483,800
  非流动负债合计184,388,836.8788,784,351.1286,041,409.9557,721,829.83
  负债合计1,774,479,163.811,680,782,018.281,786,884,947.741,816,680,989.88
所有者权益(或股东权益):
  实收资本(或股本)519,793,440519,793,440519,793,440519,793,440
  资本公积1,087,582,444.691,083,736,888.61,079,891,332.511,076,045,776.42
  减:库存股60,068,095.5660,068,095.5660,068,095.5660,068,095.56
  专项储备27,396,768.627,604,794.5328,334,007.3628,390,718.09
  盈余公积154,270,888.42154,270,888.42154,270,888.42154,270,888.42
  未分配利润674,521,948.37643,230,781.03651,195,937.41607,734,683.23
  归属于母公司股东权益合计2,403,497,394.522,368,568,697.022,373,417,510.142,326,167,410.6
  股东权益合计2,403,497,394.522,368,568,697.022,373,417,510.142,326,167,410.6
  负债和股东权益合计4,177,976,558.334,049,350,715.34,160,302,457.884,142,848,400.48
公告日期2025-10-312025-08-162025-04-282025-04-19
审计意见(境内)标准无保留意见
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