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泰尔股份

(002347)

  

流通市值:39.87亿  总市值:40.78亿
流通股本:4.93亿   总股本:5.05亿

资产负债表

报告期2025-06-302025-03-312024-12-312024-09-30
公司类型通用通用通用通用
流动资产:
  货币资金359,399,075.72359,817,716.89411,123,395.28321,906,420.2
  应收票据及应收账款813,364,229.02854,000,750.36812,250,052.78793,387,574.78
  其中:应收票据65,813,817.6483,517,081.58109,278,949.25106,349,049.31
        应收账款747,550,411.38770,483,668.78702,971,103.53687,038,525.47
  应收款项融资121,356,477.09165,226,673.22149,789,422.91158,558,057.06
  预付款项21,361,015.2213,686,615.1132,954,642.856,373,488.36
  其他应收款合计15,918,657.1423,853,192.7418,090,604.6721,085,845.95
        应收股利-1,920,000-4,950,000
  存货412,444,781.31439,105,239.21485,979,647.97567,861,029.25
  其他流动资产11,646,800.7112,029,47415,796,418.6613,185,479.3
  流动资产合计1,755,491,036.211,867,719,661.531,925,984,185.071,932,357,894.9
非流动资产:
  长期股权投资41,384,237.4939,487,668.8940,932,422.2239,291,366.91
  其他非流动金融资产95,496,017.695,380,572.98102,202,577.7899,987,400
  固定资产263,107,144.05229,136,323.13233,892,301.9236,803,170.38
  在建工程21,005,081.6165,394,328.0459,232,072.956,642,766.59
  使用权资产17,829,471.9319,605,040.5522,084,671.4723,186,928.25
  无形资产131,745,658.98135,378,637.04139,350,868.15139,091,559.27
  长期待摊费用15,103,838.5814,535,517.9116,892,916.2720,565,217.69
  递延所得税资产22,637,648.5922,646,447.823,089,508.5524,110,708.89
  其他非流动资产4,397,807.53,721,659.63,130,449.646,614.2
  非流动资产合计612,706,906.33625,286,195.94640,807,788.89589,725,732.18
  资产总计2,368,197,942.542,493,005,857.472,566,791,973.962,522,083,627.08
流动负债:
  短期借款89,649,977.1372,703,675.1477,666,920.3257,726,717.91
  应付票据及应付账款642,169,704.41729,082,927.61785,191,110.13887,209,597.18
  其中:应付票据198,908,792.1352,079,891.67414,693,071.97287,216,146.25
        应付账款443,260,912.31377,003,035.94370,498,038.16599,993,450.93
  合同负债56,122,263.7163,646,259.6980,759,458.9690,249,899.99
  应付职工薪酬33,536,268.6131,931,148.5737,849,059.6635,805,582.24
  应交税费9,554,690.546,844,505.9314,478,722.8414,659,077.82
  其他应付款合计19,213,478.6614,516,630.1312,574,597.9210,967,462.09
        应付股利10,094,045.52---
  一年内到期的非流动负债15,366,373.6617,632,526.0416,882,067.6235,803,828.98
  其他流动负债198,136,648.79229,400,810.92227,553,180.36133,933,079.35
  流动负债合计1,063,749,405.511,165,758,484.031,252,955,117.811,266,355,245.56
非流动负债:
  长期借款54,122,216.3354,605,912.8327,100,107.552,603,704.8
  租赁负债9,893,740.1610,788,194.7314,038,921.2118,955,775.18
  递延收益29,255,516.2129,929,165.2631,032,684.0823,194,461.04
  非流动负债合计93,271,472.795,323,272.8272,171,712.8444,753,941.02
  负债合计1,157,020,878.211,261,081,756.851,325,126,830.651,311,109,186.58
所有者权益(或股东权益):
  实收资本(或股本)504,702,276504,702,276504,702,276504,702,276
  资本公积588,855,113.48588,855,113.48588,855,113.48588,855,113.48
  其他综合收益152,239.9419,599.32-39,517.1628,715.44
  专项储备10,738,561.1410,448,838.6510,463,812.510,829,440.76
  盈余公积43,271,742.6243,271,742.6243,271,742.6238,468,860.21
  未分配利润31,094,143.0251,331,409.5360,573,976.4435,008,511.44
  归属于母公司股东权益合计1,178,814,076.21,198,628,979.61,207,827,403.881,177,892,917.33
  少数股东权益32,362,988.1333,295,121.0233,837,739.4333,081,523.17
  股东权益合计1,211,177,064.331,231,924,100.621,241,665,143.311,210,974,440.5
  负债和股东权益合计2,368,197,942.542,493,005,857.472,566,791,973.962,522,083,627.08
公告日期2025-08-232025-04-302025-04-252024-10-26
审计意见(境内)标准无保留意见
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