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力合科创

(002243)

  

流通市值:119.81亿  总市值:120.46亿
流通股本:12.04亿   总股本:12.11亿

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1,691,687,884.421,594,829,341.081,623,096,585.051,854,871,977.26
  交易性金融资产368,861,335.61436,584,958.91504,687,986.3245,514,082.18
  应收票据及应收账款1,031,348,967.55976,172,815.52892,772,555.25955,784,240.48
  其中:应收票据11,430,472.032,830,100.454,614,997.382,973,907.73
        应收账款1,019,918,495.52973,342,715.07888,157,557.87952,810,332.75
  应收款项融资978,196.921,667,178.2462,804.741,856,789.79
  预付款项34,580,646.1929,401,820.7136,834,444.327,978,398.56
  其他应收款合计53,315,657.6746,360,028.3344,369,918.0449,138,766.84
  存货4,557,130,249.624,500,781,563.594,588,052,787.594,558,521,380.55
  合同资产3,656,757.163,656,757.164,156,229.863,656,757.16
  其他流动资产121,013,419.89125,991,164.39121,397,097.33123,623,512.85
  流动资产合计7,862,573,115.037,715,445,627.897,815,830,408.467,820,945,905.67
非流动资产:
  长期股权投资2,152,737,562.872,168,695,784.652,186,166,898.852,181,365,102.65
  其他非流动金融资产2,255,720,039.52,214,910,138.282,097,269,392.872,161,195,625.57
  投资性房地产1,724,359,389.521,724,680,391.411,657,569,797.71,668,004,186.97
  固定资产1,358,478,439.781,369,054,438.061,385,254,414.081,419,205,941.73
  在建工程288,868,357.99284,030,539.59293,410,403.75282,335,127.87
  使用权资产212,701,947.35227,965,759.91243,225,093.35253,183,590.55
  无形资产283,922,594.51287,814,988.54291,778,931.68295,392,535.98
  商誉92,649,869.7592,649,869.7592,649,869.7592,649,869.75
  长期待摊费用70,834,218.5674,316,561.4675,453,687.2879,427,973.77
  递延所得税资产291,890,386.81286,847,370.34285,309,637.5284,556,290.68
  其他非流动资产40,244,002.642,833,134.6446,992,349.552,676,157.04
  非流动资产合计8,772,406,809.248,773,798,976.638,655,080,476.318,769,992,402.56
  资产总计16,634,979,924.2716,489,244,604.5216,470,910,884.7716,590,938,308.23
流动负债:
  短期借款126,391,291.13105,300,000275,798,488303,594,011.16
  应付票据及应付账款960,756,307.39955,312,237.46951,797,341.671,061,840,860.76
  其中:应付票据4,500,838.086,459,568.364,895,337.326,718,241.62
        应付账款956,255,469.31948,852,669.1946,902,004.351,055,122,619.14
  预收款项6,162,591.035,434,294.964,625,086.142,503,698.45
  合同负债77,533,980.765,743,131.3267,848,846.6863,775,422.37
  应付职工薪酬92,375,060.1585,316,929.8599,778,849.78125,335,638.52
  应交税费207,689,626.58209,122,802.53219,898,910.25260,493,655.86
  其他应付款合计533,727,040.5495,536,817.58422,085,785.15375,056,544.4
        应付股利--800,000800,000
  一年内到期的非流动负债118,284,302.386,109,632.64156,780,932.79263,680,221.6
  其他流动负债15,321,726.5211,983,729.4913,209,261.8211,273,153.93
  流动负债合计2,138,241,926.32,019,859,575.832,211,823,502.282,467,553,207.05
非流动负债:
  长期借款3,079,072,375.073,742,513,274.593,495,806,262.933,322,847,378.49
  应付债券2,015,353,342.471,306,504,712.331,338,536,383.61,328,589,534.27
  租赁负债206,841,314.48216,187,552.1220,179,684.42223,173,158.34
  长期应付款475,407,144.69465,875,542.32467,967,087.13480,382,788.07
  预计负债1,646,543.331,837,133.421,778,735.891,422,398.22
  递延收益58,428,189.4359,784,402.8866,301,330.270,820,116.23
  递延所得税负债344,401,106.21344,332,980.58324,214,412.94325,920,071.22
  其他非流动负债20,255.84---
  非流动负债合计6,181,170,271.526,137,035,598.225,914,783,897.115,753,155,444.84
  负债合计8,319,412,197.828,156,895,174.058,126,607,399.398,220,708,651.89
所有者权益(或股东权益):
  实收资本(或股本)1,210,604,2191,210,604,2191,210,604,2191,210,604,219
  资本公积2,149,010,318.092,149,010,318.092,191,462,395.422,192,237,736.78
  其他综合收益386,854.451,549,643.341,519,688.943,008,075.57
  盈余公积258,624,075.61258,624,075.61258,624,075.61258,624,075.61
  未分配利润3,649,148,962.753,649,822,371.783,595,469,566.153,616,170,041.86
  归属于母公司股东权益合计7,267,774,429.97,269,610,627.827,257,679,945.127,280,644,148.82
  少数股东权益1,047,793,296.551,062,738,802.651,086,623,540.261,089,585,507.52
  股东权益合计8,315,567,726.458,332,349,430.478,344,303,485.388,370,229,656.34
  负债和股东权益合计16,634,979,924.2716,489,244,604.5216,470,910,884.7716,590,938,308.23
公告日期2025-10-282025-08-282025-04-252025-03-27
审计意见(境内)标准无保留意见
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