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七匹狼

(002029)

  

流通市值:46.78亿  总市值:49.56亿
流通股本:6.65亿   总股本:7.05亿

资产负债表

报告期2025-06-302025-03-312024-12-312024-09-30
公司类型通用通用通用通用
流动资产:
  货币资金653,483,795.89592,674,140.86924,448,972898,392,831.47
  结算备付金--00
  拆出资金--00
  交易性金融资产1,955,785,041.261,944,600,246.821,895,575,855.951,347,584,558.78
  衍生金融资产--00
  应收票据及应收账款305,989,974.71413,604,117.56406,778,910.83440,537,371.59
  其中:应收票据6,173,0403,332,638.2490,000290,000
        应收账款299,816,934.71410,271,479.36406,288,910.83440,247,371.59
  应收款项融资--00
  预付款项72,765,061.444,005,795.1839,561,061.250,136,367.41
  应收保费--00
  应收分保账款--00
  应收分保合同准备金--00
  其他应收款合计35,167,358.9636,513,016.7137,925,637.4345,788,219.76
  其中:应收利息--00
        应收股利--00
  买入返售金融资产--00
  存货754,650,380.29733,390,749.58849,967,008.61914,705,463.29
  合同资产--00
  一年内到期的非流动资产1,561,802,859.671,507,922,159.081,718,012,165.911,791,173,885.2
  其他流动资产241,887,090.54247,796,878.22294,072,041.44240,380,120.25
  流动资产合计5,581,531,562.725,520,507,104.016,166,341,653.375,728,698,817.75
非流动资产:
  发放委托贷款及垫款--00
  债权投资26,068,082.1925,924,726.0325,782,945.2125,638,013.7
  其他债权投资--00
  长期应收款--00
  长期股权投资674,544,596.85718,953,337.05716,465,100.17549,273,497.75
  其他权益工具投资418,219,835.5414,177,164.57422,509,002.83416,678,470.76
  其他非流动金融资产23,619,136.6723,314,366.7124,963,455.5326,707,773.07
  投资性房地产223,355,317.49224,356,986.13238,756,190.21251,730,699.1
  固定资产307,526,920.16325,085,236.58328,929,541.56334,094,940.54
  在建工程--00
  生产性生物资产--00
  油气资产--00
  使用权资产208,121,371.81213,998,615.09224,872,211214,806,983.67
  无形资产349,253,627350,638,528.34351,991,531.43350,545,434.34
  开发支出--00
  商誉--00
  长期待摊费用163,291,086.11166,530,903176,874,005.38166,234,450.62
  递延所得税资产229,962,134.2214,054,501.03199,313,496.24307,898,819.26
  其他非流动资产1,672,456,979.011,975,743,606.891,928,727,511.971,917,806,149.67
  非流动资产合计4,296,419,086.994,652,777,971.424,639,184,991.534,561,415,232.48
  资产总计9,877,950,649.7110,173,285,075.4310,805,526,644.910,290,114,050.23
流动负债:
  短期借款1,739,970,0001,628,407,636.882,190,259,628.981,782,175,307.07
  向中央银行借款--00
  吸收存款及同业存放--00
  拆入资金--00
  交易性金融负债--00
  衍生金融负债--00
  应付票据及应付账款585,315,069.65814,576,670.54957,602,777.21869,259,287.47
  其中:应付票据318,911,102.56452,417,712.29483,082,612400,809,963.43
        应付账款266,403,967.09362,158,958.25474,520,165.21468,449,324.04
  预收款项2,569,626.543,835,656.34,073,830.173,130,381.22
  合同负债214,549,310.24224,168,574.89220,220,929.2257,127,971.91
  卖出回购金融资产款--00
  应付手续费及佣金--00
  应付职工薪酬54,616,732.4748,209,951.5569,056,833.7560,852,046.29
  应交税费64,937,117.874,109,951.0742,457,706.0464,478,457.8
  其他应付款合计214,028,159.02208,781,756.82207,274,091.34204,516,491.5
  其中:应付利息--00
        应付股利17,676,061.361,276,061.361,276,061.365,000,000
  应付分保账款--00
  保险合同准备金--00
  代理买卖证券款--00
  代理承销证券款--00
  一年内到期的非流动负债106,085,391.74100,035,210.44101,075,121.12103,027,344.42
  其他流动负债98,405,298.5114,765,799.7173,393,835.2579,669,045.37
  流动负债合计3,080,476,705.963,216,891,208.193,965,414,753.063,424,236,333.05
非流动负债:
  长期借款--00
  应付债券--00
  优先股--00
  永续债--00
  租赁负债97,698,011.91105,930,219.3120,400,651.93107,102,385.85
  长期应付款--00
  长期应付职工薪酬--00
  预计负债3,674,973.213,499,373.213,439,644.935,162,997.77
  递延收益150,000154,500159,000163,500
  递延所得税负债17,985,892.3518,274,885.2216,392,713.57112,083,232.74
  其他非流动负债--00
  非流动负债合计119,508,877.47127,858,977.73140,392,010.43224,512,116.36
  负债合计3,199,985,583.433,344,750,185.924,105,806,763.493,648,748,449.41
所有者权益(或股东权益):
  实收资本(或股本)705,023,537705,023,537705,023,537705,023,537
  其他权益工具--00
  优先股--00
  永续债--00
  资本公积1,639,848,891.481,639,614,327.871,639,379,764.271,642,550,896.1
  减:库存股172,922,309.9100,088,209.2779,776,350.4679,776,350.46
  其他综合收益13,536,767.2110,781,935.5317,205,856.8310,563,645.39
  专项储备--00
  盈余公积918,097,381.88918,097,381.88918,097,381.88883,920,838.1
  一般风险准备--00
  未分配利润3,464,445,558.43,520,884,782.563,371,376,616.063,356,615,614.61
  归属于母公司股东权益合计6,568,029,826.076,694,313,755.576,571,306,805.586,518,898,180.74
  少数股东权益109,935,240.21134,221,133.94128,413,075.83122,467,420.08
  股东权益合计6,677,965,066.286,828,534,889.516,699,719,881.416,641,365,600.82
  负债和股东权益合计9,877,950,649.7110,173,285,075.4310,805,526,644.910,290,114,050.23
公告日期2025-08-222025-04-262025-04-032024-10-26
审计意见(境内)标准无保留意见
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