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赛象科技

(002337)

  

流通市值:36.22亿  总市值:36.26亿
流通股本:5.88亿   总股本:5.89亿

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580,544,461.41565,636,806.91548,252,644.46521,968,119.47
  交易性金融资产163,441,410.27195,302,870.37195,895,159.77260,789,731.85
  应收票据及应收账款455,530,342.33421,793,753.86375,211,098.24414,367,323.77
  其中:应收票据98,697,618.14117,158,960.77122,458,931.9119,151,913.74
        应收账款356,832,724.19304,634,793.09252,752,166.34295,215,410.03
  预付款项16,404,657.4245,142,815.8825,905,093.1123,721,517.33
  其他应收款合计4,549,186.424,107,802.633,569,348.763,604,305.78
  其中:应收利息---0
        应收股利---0
  存货546,281,674.26537,979,685.06579,897,626.85581,931,506.15
  合同资产45,009,510.3647,307,152.8237,805,516.9240,779,547.88
  其他流动资产1,228,399.431,993,386.59893,119.71,339,366.32
  流动资产合计1,812,989,641.91,819,264,274.121,767,429,607.811,848,501,418.55
非流动资产:
  发放委托贷款及垫款100,000100,000-0
  长期应收款1,439,151.091,534,018.1734,513.27-
  其他非流动金融资产34,037,578.8834,037,578.8834,037,578.8834,037,578.88
  固定资产159,163,426.61162,357,781.12165,837,045.63169,358,821.54
  在建工程1,260,128.33941,622.13747,389.38747,389.38
  使用权资产385,862.04443,741.37501,620.7559,500.03
  无形资产25,326,498.9525,605,784.425,911,813.3526,221,553.39
  长期待摊费用---0
  递延所得税资产28,369,893.2130,031,536.2429,169,454.9928,382,217.58
  其他非流动资产--1,973,451.330
  非流动资产合计250,082,539.11255,052,062.31258,212,867.53259,307,060.8
  资产总计2,063,072,181.012,074,316,336.432,025,642,475.342,107,808,479.35
流动负债:
  短期借款43,312,166.3740,542,355.327,919,545.9622,813,409.96
  应付票据及应付账款242,091,220.37271,410,320.01277,885,550.09321,551,238.6
  其中:应付票据94,929,943.4133,142,066.28132,200,990.41127,680,566.26
        应付账款147,161,276.97138,268,253.73145,684,559.68193,870,672.34
  合同负债303,666,344.02307,312,214.64316,222,519.11327,319,511.83
  应付职工薪酬00-16,796,176.5
  应交税费6,256,079.267,327,310.84,710,364.411,263,029.63
  其他应付款合计25,723,857.125,853,008.9727,204,603.4634,443,996.28
  一年内到期的非流动负债244,770.65239,223.71233,844.94228,557.68
  其他流动负债43,741,905.4637,419,727.9932,415,984.4935,166,115.02
  流动负债合计665,036,343.23690,104,161.44666,592,412.46759,582,035.5
非流动负债:
  租赁负债179,675.82243,948.01305,244.73365,139.39
  预计负债7,417,879.167,417,879.167,417,879.167,417,879.16
  递延收益3,720,0003,720,0003,000,0003,000,000
  递延所得税负债5,070.5188,717.45106,218.44289,995.22
  非流动负债合计11,322,625.4911,470,544.6210,829,342.3311,073,013.77
  负债合计676,358,968.72701,574,706.06677,421,754.79770,655,049.27
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437,637,629.22435,079,816.19432,522,003.16431,548,451.09
  减:库存股20,877,307.8620,877,307.8620,877,307.8625,076,681.29
  其他综合收益51,382.851,382.851,382.851,382.8
  专项储备8,040,219.877,386,932.325,945,756.646,046,846.78
  盈余公积93,953,938.0693,953,938.0693,953,938.0693,953,938.06
  未分配利润209,403,327.52199,175,156.34178,431,852.05172,079,549.21
  归属于母公司股东权益合计1,316,824,939.611,303,385,667.851,278,643,374.851,267,219,236.65
  少数股东权益69,888,272.6869,355,962.5269,577,345.769,934,193.43
  股东权益合计1,386,713,212.291,372,741,630.371,348,220,720.551,337,153,430.08
  负债和股东权益合计2,063,072,181.012,074,316,336.432,025,642,475.342,107,808,479.35
公告日期2025-10-292025-08-282025-04-292025-04-25
审计意见(境内)标准无保留意见
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