当前位置:首页 - 行情中心 - *ST特迅(002227) - 财务分析 - 资产负债表

*ST特迅

(002227)

  

流通市值:22.48亿  总市值:22.65亿
流通股本:2.46亿   总股本:2.48亿

资产负债表

报告期2026-03-312025-12-312025-09-302025-06-30
公司类型通用通用通用通用
流动资产:
  货币资金134,095,429.2840,979,093.9229,400,253.5522,858,863.34
  结算备付金-000
  拆出资金-000
  衍生金融资产-000
  应收票据及应收账款128,436,678.14142,121,612.84154,262,966.46172,568,458.04
  其中:应收票据3,425,6605,643,574.994,193,826.4636,055.54
        应收账款125,011,018.14136,478,037.85150,069,140.06171,932,402.5
  应收款项融资172,642.35718,5701,657,029.991,554,743
  预付款项13,044,830.6512,149,578.9514,070,918.1813,510,050.3
  其他应收款合计11,297,635.210,293,707.0515,869,046.9717,176,483.26
  存货184,667,014.62177,827,496.09201,082,469.36193,901,916.92
  合同资产5,258,467.175,189,247.337,443,396.4611,477,536.09
  其他流动资产31,842,205.1131,684,217.3634,598,145.840,272,362.92
  流动资产合计508,814,902.52420,963,523.54458,384,226.77473,320,413.87
非流动资产:
  其他非流动金融资产7,000,0007,000,0007,000,0007,000,000
  投资性房地产0071,392,733.6171,907,221.16
  固定资产805,650,688.53815,714,538.3380,393,245.78383,020,518.44
  在建工程9,204,191.7710,996,949.63383,085,058.42381,587,166.44
  使用权资产55,418,294.7358,234,155.6854,545,005.6854,014,153.1
  无形资产38,489,377.2640,311,244.8542,660,590.8442,175,259.54
  开发支出9,367,208.427,925,064.639,165,876.2213,868,382.16
  长期待摊费用7,607,631.228,104,079.128,615,220.719,047,298.32
  递延所得税资产86,708,224.989,560,110.8387,355,360.1286,979,175.69
  非流动资产合计1,019,445,616.831,037,846,143.041,044,213,091.381,049,599,174.85
  资产总计1,528,260,519.351,458,809,666.581,502,597,318.151,522,919,588.72
流动负债:
  短期借款59,200,937.1259,200,937.1281,030,168.9874,065,873.05
  应付票据及应付账款88,884,095.0988,095,665.6882,654,799.0388,185,858.61
        应付账款88,884,095.0988,095,665.6882,654,799.0388,185,858.61
  合同负债58,704,753.7964,133,922.369,683,067.3364,401,745.01
  应付职工薪酬9,652,855.4212,017,752.812,844,146.3112,896,686.43
  应交税费4,431,445.633,910,724.954,837,232.786,378,983.36
  其他应付款合计13,651,946.6819,301,385.5217,672,180.6316,885,117.56
  一年内到期的非流动负债54,328,021.7252,312,010.1745,820,41246,204,816.44
  其他流动负债11,057,277.9914,133,132.9213,011,537.538,984,968.53
  流动负债合计299,911,333.44313,105,531.46327,553,544.59318,004,048.99
非流动负债:
  长期借款226,400,000122,600,000136,400,000145,400,000
  租赁负债50,073,846.3152,945,871.6350,413,657.449,252,722.5
  递延收益19,019,438.5919,873,526.1119,693,743.1220,731,354.37
  递延所得税负债16,284,821.2616,973,494.3616,704,975.3716,073,862.03
  非流动负债合计311,778,106.16212,392,892.1223,212,375.89231,457,938.9
  负债合计611,689,439.6525,498,423.56550,765,920.48549,461,987.89
所有者权益(或股东权益):
  实收资本(或股本)247,806,170247,806,170247,806,170247,806,170
  资本公积641,827,191.2641,827,191.2641,827,191.2641,827,191.2
  其他综合收益-114,705.85-132,727.09-151,559.34-150,827.15
  盈余公积74,456,889.874,456,889.874,456,889.874,456,889.8
  未分配利润-42,752,622.44-27,054,507.71-9,278,947.9811,280,670.81
  归属于母公司股东权益合计921,222,922.71936,903,016.2954,659,743.68975,220,094.66
  少数股东权益-4,651,842.96-3,591,773.18-2,828,346.01-1,762,493.83
  股东权益合计916,571,079.75933,311,243.02951,831,397.67973,457,600.83
  负债和股东权益合计1,528,260,519.351,458,809,666.581,502,597,318.151,522,919,588.72
公告日期2026-04-282026-04-212025-10-282025-08-26
审计意见(境内)标准无保留意见
TOP↑