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泰尔股份

(002347)

  

流通市值:40.11亿  总市值:41.03亿
流通股本:4.93亿   总股本:5.05亿

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340,510,925.74511,681,137.17333,577,238.23359,399,075.72
  应收票据及应收账款751,267,613.06770,149,254.31830,662,249.41813,364,229.02
  其中:应收票据44,811,765.5747,887,558.9965,192,238.2965,813,817.64
        应收账款706,455,847.49722,261,695.32765,470,011.12747,550,411.38
  应收款项融资188,693,143.6856,291,543.78164,979,507.92121,356,477.09
  预付款项19,826,837.5924,058,677.4411,607,794.721,361,015.22
  其他应收款合计16,868,389.8313,557,661.0821,082,423.8515,918,657.14
  存货432,014,194.53390,281,130.79419,100,876.36412,444,781.31
  合同资产-0--
  其他流动资产12,744,663.2714,919,168.6215,332,037.6711,646,800.71
  流动资产合计1,761,925,767.71,780,938,573.191,796,342,128.141,755,491,036.21
非流动资产:
  长期股权投资28,400,875.7930,623,867.740,150,702.7141,384,237.49
  其他非流动金融资产101,927,941.67101,927,941.6795,544,05995,496,017.6
  固定资产279,695,977.39277,631,990.51266,543,396.42263,107,144.05
  在建工程26,480,802.8715,560,285.0622,826,013.7221,005,081.61
  使用权资产6,253,266.66,808,592.116,329,344.5317,829,471.93
  无形资产119,838,994123,968,950.9127,726,534.28131,745,658.98
  长期待摊费用8,553,893.0110,343,660.4213,021,579.8315,103,838.58
  递延所得税资产24,805,658.5223,734,708.0523,574,875.2822,637,648.59
  其他非流动资产580,938.7113,888,431.53,103,457.54,397,807.5
  非流动资产合计596,538,348.56604,488,427.91608,819,963.27612,706,906.33
  资产总计2,358,464,116.262,385,427,001.12,405,162,091.412,368,197,942.54
流动负债:
  短期借款118,605,932.33125,399,467.8994,093,631.6489,649,977.13
  应付票据及应付账款685,844,890.25740,994,011.94681,546,628.64642,169,704.41
  其中:应付票据222,527,643.58275,118,431.39221,006,598.35198,908,792.1
        应付账款463,317,246.67465,875,580.55460,540,030.29443,260,912.31
  合同负债91,412,190.8979,071,897.7974,171,184.1556,122,263.71
  应付职工薪酬29,726,833.836,099,298.3132,545,390.7333,536,268.61
  应交税费7,729,659.4411,057,907.317,203,1469,554,690.54
  其他应付款合计11,638,574.5410,997,887.316,810,519.6319,213,478.66
        应付股利---10,094,045.52
  一年内到期的非流动负债10,799,420.7310,825,911.5116,641,931.815,366,373.66
  其他流动负债157,304,213.43114,634,523.78231,326,112.53198,136,648.79
  流动负债合计1,113,061,715.411,129,080,905.841,144,338,545.121,063,749,405.51
非流动负债:
  长期借款99,995,688.28101,500,00052,619,080.1454,122,216.33
  租赁负债2,219,602.443,075,257.846,351,995.089,893,740.16
  递延收益29,739,618.6730,872,268.628,113,666.7929,255,516.21
  非流动负债合计131,954,909.39135,447,526.4487,084,742.0193,271,472.7
  负债合计1,245,016,624.81,264,528,432.281,231,423,287.131,157,020,878.21
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596,021,623.12596,021,623.12588,855,113.48588,855,113.48
  其他综合收益48,761.29115,711.37137,522.6152,239.94
  专项储备12,113,515.2712,050,909.6510,794,616.2710,738,561.14
  盈余公积43,271,742.6243,271,742.6243,271,742.6243,271,742.62
  未分配利润-52,095,878.47-44,460,990.28-3,210,087.2231,094,143.02
  归属于母公司股东权益合计1,104,062,039.831,111,701,272.481,144,551,183.751,178,814,076.2
  少数股东权益9,385,451.639,197,296.3429,187,620.5332,362,988.13
  股东权益合计1,113,447,491.461,120,898,568.821,173,738,804.281,211,177,064.33
  负债和股东权益合计2,358,464,116.262,385,427,001.12,405,162,091.412,368,197,942.54
公告日期2026-04-302026-04-232025-10-252025-08-23
审计意见(境内)标准无保留意见
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