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易普力

(002096)

  

流通市值:85.52亿  总市值:151.33亿
流通股本:7.01亿   总股本:12.40亿

资产负债表

报告期2025-03-312024-12-312024-09-302024-06-30
公司类型通用通用通用通用
流动资产:
货币资金2,641,558,559.532,753,270,019.932,571,976,487.042,212,271,007.87
应收票据及应收账款2,746,917,759.352,395,539,701.442,778,109,922.042,366,299,987.22
其中:应收票据943,617,147.65913,887,592.57713,656,010.47554,037,235.5
应收账款1,803,300,611.71,481,652,108.872,064,453,911.571,812,262,751.72
应收款项融资439,822,283.94278,403,601.42142,318,315.19325,525,996.06
预付款项105,586,510.5897,712,888.69147,569,952.69161,902,761.34
其他应收款合计227,813,715.81104,467,635.61127,341,049.36133,817,762.01
应收股利-499,990-5,000,000
存货490,971,034.35433,393,666.01457,122,532.82463,024,613.24
合同资产60,840,088.6253,643,646.1165,221,966.6177,248,641.63
其他流动资产79,985,611.1869,933,163.5262,231,316.6359,428,613.43
流动资产平衡项目0000
流动资产合计6,793,495,563.366,186,364,322.736,351,891,542.385,799,519,382.8
非流动资产:
长期股权投资155,318,299.26151,147,072.13138,795,235.07157,837,363.42
其他权益工具投资195,550,200191,350,200186,559,540.44143,159,540.44
其他非流动金融资产59,397,50059,397,50063,226,408.4263,226,408.42
投资性房地产180,843,182.07182,702,235.64150,906,465.7680,699,565.47
固定资产1,999,468,695.332,014,070,390.211,908,386,883.131,978,512,197.68
在建工程134,459,243.653,908,942.43102,494,887.45103,825,635.6
使用权资产166,488,769.15163,228,532.9175,759,411.73176,677,692.58
无形资产1,056,331,763.94965,088,125.12964,469,670.1975,235,037.02
商誉861,196,867.7861,196,867.7861,754,030.68861,754,030.68
长期待摊费用11,873,867.376,453,978.36,272,480.66,370,374.06
递延所得税资产62,128,140.0856,278,045.8256,134,509.5856,268,332.69
其他非流动资产33,071,690.02135,668,157.3925,387,942.925,477,502.12
非流动资产平衡项目0000
非流动资产合计4,916,128,218.524,840,490,047.644,640,147,465.864,629,043,680.18
资产平衡项目0000
资产总计11,709,623,781.8811,026,854,370.3710,992,039,008.2410,428,563,062.98
流动负债:
短期借款8,000,0008,000,0008,000,0003,000,000
应付票据及应付账款1,804,959,493.421,187,302,989.851,381,602,453.281,143,962,643.71
其中:应付票据454,512,151.8662,124,675.4147,782,588.1337,428,343.69
应付账款1,350,447,341.561,125,178,314.441,333,819,865.151,106,534,300.02
合同负债38,465,302.3642,358,812.6349,054,349.1641,115,933.44
应付职工薪酬175,385,972.49109,364,962.05253,445,194.51187,020,304.97
应交税费115,596,610.58144,276,409.21120,608,908.53115,090,170.86
其他应付款合计272,837,297.39306,072,126.62282,299,192.63265,212,254.19
应付股利548,000548,000-1,011,196.25
一年内到期的非流动负债100,583,145.58100,238,243.74104,477,064.9799,738,819.44
其他流动负债499,370,443.91624,199,340.25474,661,531.12414,605,929.74
流动负债平衡项目0000
流动负债合计3,015,198,265.732,521,812,884.352,674,148,694.22,269,746,056.35
非流动负债:
长期借款164,500,000170,500,000160,500,000185,000,000
租赁负债126,425,886.75121,973,736.58131,234,973.95139,327,108.96
长期应付职工薪酬110,824,106.87113,900,000117,293,076.87123,690,000
预计负债17,991,455.9317,991,455.9317,991,455.9317,991,455.93
递延收益112,414,100.5112,540,755.62114,479,637.38115,261,525.17
递延所得税负债186,260,492.19181,128,916.36176,773,743.8165,605,183.08
其他非流动负债2,143,295.572,143,295.572,143,295.572,143,295.57
非流动负债平衡项目0000
非流动负债合计720,559,337.81720,178,160.06720,416,183.5749,018,568.71
负债平衡项目0000
负债合计3,735,757,603.543,241,991,044.413,394,564,877.73,018,764,625.06
所有者权益(或股东权益):
实收资本(或股本)1,240,440,7701,240,440,7701,240,440,7701,240,440,770
资本公积3,612,596,794.853,612,596,794.853,610,950,896.143,610,950,896.14
其他综合收益-11,764,791.92-14,411,208.85-10,568,113.66-44,022,941.85
专项储备53,668,428.4942,912,472.2658,405,128.9957,465,552.67
盈余公积334,390,000334,390,000334,390,000334,390,000
未分配利润2,406,876,164.362,241,718,463.882,052,816,274.381,879,660,247.83
归属于母公司股东权益平衡项目0000
归属于母公司股东权益合计7,636,207,365.787,457,647,292.147,286,434,955.857,078,884,524.79
少数股东权益337,658,812.56327,216,033.82311,039,174.69330,913,913.13
股东权益平衡项目0000
股东权益合计7,973,866,178.347,784,863,325.967,597,474,130.547,409,798,437.92
负债和股东权益合计11,709,623,781.8811,026,854,370.3710,992,039,008.2410,428,563,062.98
公告日期2025-04-302025-03-292024-10-312024-08-28
审计意见(境内)标准无保留意见
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