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普利特

(002324)

  

流通市值:124.13亿  总市值:177.86亿
流通股本:7.76亿   总股本:11.12亿

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1,250,549,083.541,037,179,907.57778,192,698.17953,474,801.16
  衍生金融资产--84,089.25287,620.12
  应收票据及应收账款3,575,336,971.823,085,397,156.123,037,496,262.463,485,194,923.34
  其中:应收票据462,840,184.25492,253,997.89525,398,935.39561,517,785.83
        应收账款3,112,496,787.572,593,143,158.232,512,097,327.072,923,677,137.51
  应收款项融资553,669,373.16565,578,709.28644,731,522.84373,334,877.55
  预付款项314,888,436.6277,065,129.3258,528,318.84292,651,325.48
  其他应收款合计87,182,513.6666,545,820.754,335,174.6643,555,436.01
  存货2,039,468,613.21,901,663,941.721,856,190,217.721,751,406,898.5
  其他流动资产226,918,758.57252,878,623.24253,640,196.96228,433,220.7
  流动资产合计8,048,013,750.557,186,309,287.936,883,198,480.97,128,339,102.86
非流动资产:
  长期应收款8,007,3408,007,3408,007,3408,007,340
  长期股权投资97,400,816.9563,374,092.1562,651,244.3477,981,135.48
  其他非流动金融资产82,293,324.4482,293,324.4482,293,324.4483,308,210.08
  固定资产2,785,417,140.572,834,495,858.432,452,035,130.272,466,126,281.19
  在建工程670,675,980.27577,660,956.2901,709,991.83833,846,620.73
  使用权资产217,324,668.85208,420,749.672,346,897.0176,344,808.6
  无形资产525,332,001.76466,875,496.05471,654,098.31476,895,873.99
  商誉374,354,470.77375,808,879.77376,345,723.77376,625,101.77
  长期待摊费用56,320,983.6845,942,256.7534,698,082.4233,732,974.5
  递延所得税资产142,628,300113,928,246.2391,041,922.8193,355,212.07
  其他非流动资产87,681,301.8680,827,034.5779,803,300.3354,380,097.66
  非流动资产合计5,047,436,329.154,857,634,234.194,632,587,055.534,580,603,656.07
  资产总计13,095,450,079.712,043,943,522.1211,515,785,536.4311,708,942,758.93
流动负债:
  短期借款3,521,763,002.113,399,121,764.583,177,191,420.563,228,622,891.15
  衍生金融负债781,131.1357,778.04--
  应付票据及应付账款2,391,818,632.531,509,844,433.861,357,577,911.091,528,103,856.36
  其中:应付票据622,510,038.91302,116,423.87273,255,636.46356,371,999.13
        应付账款1,769,308,593.621,207,728,009.991,084,322,274.631,171,731,857.23
  合同负债162,251,679.93114,100,142.42135,013,158.5590,922,343.49
  应付职工薪酬75,976,577.8470,509,336.2359,421,697.4390,190,712.06
  应交税费111,734,262.83100,438,846.14106,027,623.63110,255,955.12
  其他应付款合计519,115,306.8531,465,390.99479,200,740.87529,196,888.5
  一年内到期的非流动负债263,693,605.88354,238,189.76381,999,608.14403,955,628.92
  其他流动负债8,875,880.357,707,883.2324,413,923.4325,436,748.75
  流动负债合计7,056,010,079.376,087,783,765.255,720,846,083.76,006,685,024.35
非流动负债:
  长期借款724,160,472.15738,942,427.26782,871,979.48800,316,228.41
  租赁负债237,996,197.63224,401,716.7277,712,187.5581,349,462.11
  长期应付款786,894.411,006,201.651,064,950.071,107,006.41
  递延收益148,302,629.9149,757,970.28156,532,241.35158,351,514.46
  递延所得税负债41,424,571.2542,106,412.128,208,946.4128,815,046.91
  非流动负债合计1,152,670,765.341,156,214,728.011,046,390,304.861,069,939,258.3
  负债合计8,208,680,844.717,243,998,493.266,767,236,388.567,076,624,282.65
所有者权益(或股东权益):
  实收资本(或股本)1,112,336,2481,112,336,2481,113,548,2881,114,010,772
  资本公积1,186,697,940.571,186,697,940.571,195,710,028.571,199,152,934.37
  减:库存股154,795,497.59154,795,497.59165,019,625.59177,122,732.59
  其他综合收益68,494,883.2179,587,339.774,970,265.8875,900,442.43
  专项储备3,139,806.122,834,605.732,524,980.822,181,422.04
  盈余公积244,387,875.25244,387,875.25244,387,875.25244,387,875.25
  未分配利润2,113,978,020.732,004,412,951.781,960,747,073.531,851,680,876.02
  归属于母公司股东权益合计4,574,239,276.294,475,461,463.444,426,868,886.464,310,191,589.52
  少数股东权益312,529,958.7324,483,565.42321,680,261.41322,126,886.76
  股东权益合计4,886,769,234.994,799,945,028.864,748,549,147.874,632,318,476.28
  负债和股东权益合计13,095,450,079.712,043,943,522.1211,515,785,536.4311,708,942,758.93
公告日期2025-10-282025-08-222025-04-242025-04-19
审计意见(境内)标准无保留意见
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