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赛象科技

(002337)

  

流通市值:35.51亿  总市值:35.55亿
流通股本:5.88亿   总股本:5.89亿

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637,819,652.83617,352,575.2580,544,461.41565,636,806.91
  交易性金融资产152,113,998.63165,852,091.51163,441,410.27195,302,870.37
  衍生金融资产69,678,000---
  应收票据及应收账款324,335,297.79367,147,918.46455,530,342.33421,793,753.86
  其中:应收票据55,743,363.5681,478,839.1298,697,618.14117,158,960.77
        应收账款268,591,934.23285,669,079.34356,832,724.19304,634,793.09
  应收款项融资13,565,788.4713,092,209.54--
  预付款项11,688,068.1410,541,864.4916,404,657.4245,142,815.88
  其他应收款合计2,769,072.574,350,041.784,549,186.424,107,802.63
  存货511,618,398.09569,850,729.04546,281,674.26537,979,685.06
  合同资产37,450,600.1631,199,145.1445,009,510.3647,307,152.82
  一年内到期的非流动资产390,347.28383,523.25--
  其他流动资产4,617,408.777,396,420.641,228,399.431,993,386.59
  流动资产合计1,766,046,632.731,787,166,519.051,812,989,641.91,819,264,274.12
非流动资产:
  发放委托贷款及垫款--100,000100,000
  长期应收款863,546.79968,643.891,439,151.091,534,018.17
  其他非流动金融资产21,037,578.8821,037,578.8834,037,578.8834,037,578.88
  固定资产153,681,098.51157,110,675.78159,163,426.61162,357,781.12
  在建工程441,522.14441,522.141,260,128.33941,622.13
  使用权资产270,103.38327,982.71385,862.04443,741.37
  无形资产24,963,024.9625,272,208.4625,326,498.9525,605,784.4
  递延所得税资产27,510,156.7629,006,994.3928,369,893.2130,031,536.24
  非流动资产合计228,767,031.42234,165,606.25250,082,539.11255,052,062.31
  资产总计1,994,813,664.152,021,332,125.32,063,072,181.012,074,316,336.43
流动负债:
  短期借款24,534,731.8136,180,156.4343,312,166.3740,542,355.32
  应付票据及应付账款238,070,073.7253,825,332.35242,091,220.37271,410,320.01
  其中:应付票据88,866,212.7396,204,558.6894,929,943.4133,142,066.28
        应付账款149,203,860.97157,620,773.67147,161,276.97138,268,253.73
  合同负债260,173,386.73243,302,891.22303,666,344.02307,312,214.64
  应付职工薪酬-15,166,436.1200
  应交税费1,001,033.781,044,692.676,256,079.267,327,310.8
  其他应付款合计24,463,868.9733,455,331.3525,723,857.125,853,008.97
  一年内到期的非流动负债256,029.95250,372.55244,770.65239,223.71
  其他流动负债31,451,834.5838,083,163.9443,741,905.4637,419,727.99
  流动负债合计579,950,959.52621,308,376.63665,036,343.23690,104,161.44
非流动负债:
  租赁负债49,214.79114,766.85179,675.82243,948.01
  预计负债6,449,488.526,449,488.527,417,879.167,417,879.16
  递延收益6,020,0004,520,0003,720,0003,720,000
  递延所得税负债11,395.5421,112.615,070.5188,717.45
  非流动负债合计12,530,098.8511,105,367.9811,322,625.4911,470,544.62
  负债合计592,481,058.37632,413,744.61676,358,968.72701,574,706.06
所有者权益(或股东权益):
  实收资本(或股本)588,615,750588,615,750588,615,750588,615,750
  资本公积442,592,261.3440,729,546.9437,637,629.22435,079,816.19
  减:库存股16,677,934.4320,877,307.8620,877,307.8620,877,307.86
  其他综合收益51,741.7251,741.7251,382.851,382.8
  专项储备9,306,411.198,700,697.798,040,219.877,386,932.32
  盈余公积99,873,927.7199,873,927.7193,953,938.0693,953,938.06
  未分配利润210,381,313.88202,927,314.93209,403,327.52199,175,156.34
  归属于母公司股东权益合计1,334,143,471.371,320,021,671.191,316,824,939.611,303,385,667.85
  少数股东权益68,189,134.4168,896,709.569,888,272.6869,355,962.52
  股东权益合计1,402,332,605.781,388,918,380.691,386,713,212.291,372,741,630.37
  负债和股东权益合计1,994,813,664.152,021,332,125.32,063,072,181.012,074,316,336.43
公告日期2026-04-282026-04-232025-10-292025-08-28
审计意见(境内)标准无保留意见
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