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浙江众成

(002522)

  

流通市值:42.17亿  总市值:42.21亿
流通股本:9.05亿   总股本:9.06亿

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700,033,698.49524,204,710.33638,735,736.1539,654,659.4
  交易性金融资产130,142,216.67240,000,00080,082,191.7830,000,000
  应收票据及应收账款142,502,389.87119,597,977.61125,843,179.87132,651,541.45
  其中:应收票据2,275,403.138,828,505.042,982,806.29155,932.34
        应收账款140,226,986.74110,769,472.57122,860,373.58132,495,609.11
  应收款项融资-1,488,613.92,652,920.822,775,245.92
  预付款项25,721,249.8326,553,181.8923,346,604.8227,038,540.09
  其他应收款合计2,748,905.723,975,928.963,859,255.564,420,242.27
  存货458,168,765.18441,553,865.28393,835,100.71483,413,575.13
  其他流动资产8,754,688.0823,551,128.0120,377,409.486,975,904.36
  流动资产合计1,468,071,913.841,380,925,405.981,288,732,399.141,226,929,708.62
非流动资产:
  长期股权投资72,914,470.3472,542,843.5573,191,877.9472,858,217.09
  投资性房地产123,421,623.14124,896,676.45126,504,402.6818,670,632.18
  固定资产1,384,899,704.951,419,261,365.581,458,319,156.041,515,542,028.27
  在建工程18,254,963.4619,355,196.3418,630,361.537,830,274.24
  使用权资产138,306.39179,798.34469,239.92294,440.21
  无形资产93,796,574.294,410,583.7695,121,119.6395,193,127.76
  长期待摊费用2,683,703.493,394,796.944,105,890.394,016,764.86
  递延所得税资产4,306,010.24,346,533.764,709,503.782,621,533.18
  其他非流动资产419,944,982.74436,783,301.5506,313,112.46453,848,091.3
  非流动资产合计2,120,360,338.912,175,171,096.222,287,364,664.372,170,875,109.09
  资产总计3,588,432,252.753,556,096,502.23,576,097,063.513,397,804,817.71
流动负债:
  短期借款385,363,032.57378,371,598.51363,656,829.61324,993,547.83
  应付票据及应付账款137,628,508.83116,577,067.16124,700,593.94129,571,909.22
        应付账款137,628,508.83116,577,067.16124,700,593.94129,571,909.22
  合同负债45,475,131.5145,482,576.243,862,633.6221,603,620.96
  应付职工薪酬23,143,160.6916,811,612.6829,304,194.0425,141,331.6
  应交税费14,390,751.7911,138,986.6821,950,646.5517,521,541.56
  其他应付款合计62,362,448.4961,674,327.7961,585,378.1561,526,868.73
  一年内到期的非流动负债490,854,144.96479,560,498.48445,873,988.88273,361,062.18
  其他流动负债1,567,645.721,719,855.971,485,791.461,746,690.88
  流动负债合计1,160,784,824.561,111,336,523.471,092,420,056.25855,466,572.96
非流动负债:
  长期借款106,500,000108,000,000148,000,000248,000,000
  递延收益35,132,065.7836,162,393.1237,192,720.4624,756,900.51
  非流动负债合计141,632,065.78144,162,393.12185,192,720.46272,756,900.51
  负债合计1,302,416,890.341,255,498,916.591,277,612,776.711,128,223,473.47
所有者权益(或股东权益):
  实收资本(或股本)905,779,387905,779,387905,779,387905,779,387
  资本公积630,466,559.51630,466,559.51630,466,559.51630,466,559.51
  其他综合收益6,740,576.87,019,103.917,149,095.633,957,618.96
  专项储备1,201,051.961,697,265.251,259,402.671,864,720.72
  盈余公积182,490,440.5182,490,440.5182,490,440.5171,932,939.68
  未分配利润570,475,199.46571,377,721.37556,790,445.43537,770,257.03
  归属于母公司股东权益合计2,297,153,215.232,298,830,477.542,283,935,330.742,251,771,482.9
  少数股东权益-11,137,852.821,767,108.0714,548,956.0617,809,861.34
  股东权益合计2,286,015,362.412,300,597,585.612,298,484,286.82,269,581,344.24
  负债和股东权益合计3,588,432,252.753,556,096,502.23,576,097,063.513,397,804,817.71
公告日期2025-08-262025-04-292025-04-192024-10-30
审计意见(境内)标准无保留意见
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