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浙江众成

(002522)

  

流通市值:57.47亿  总市值:57.52亿
流通股本:9.05亿   总股本:9.06亿

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444,240,376.37559,292,399.27567,766,613.67700,033,698.49
  交易性金融资产210,000,00080,410,871.23218,481,139.72130,142,216.67
  应收票据及应收账款137,600,053.3120,373,273.45127,384,131.81142,502,389.87
  其中:应收票据5,737,872.634,188,519.881,080,107.042,275,403.13
        应收账款131,862,180.67116,184,753.57126,304,024.77140,226,986.74
  应收款项融资1,763,449.562,832,833.451,369,749.05-
  预付款项28,570,049.6923,067,479.8223,557,120.8625,721,249.83
  其他应收款合计2,765,743.742,722,071.532,860,782.092,748,905.72
  存货451,634,049.45448,714,832.18462,975,768.79458,168,765.18
  其他流动资产2,139,341.484,057,386.125,165,915.178,754,688.08
  流动资产合计1,278,713,063.591,241,471,147.051,409,561,221.161,468,071,913.84
非流动资产:
  长期股权投资71,391,036.5372,406,775.5672,179,109.7972,914,470.34
  投资性房地产106,897,111.74108,031,866.13118,060,772.01123,421,623.14
  固定资产1,270,560,528.091,306,034,539.031,352,830,627.291,384,899,704.95
  在建工程31,822,171.4721,006,811.0523,696,962.4918,254,963.46
  使用权资产13,830.5455,322.4996,814.44138,306.39
  无形资产91,876,217.0792,657,330.5893,145,721.3593,796,574.2
  长期待摊费用5,525,329.822,203,891.282,276,063.472,683,703.49
  递延所得税资产2,878,103.663,680,234.273,807,738.14,306,010.2
  其他非流动资产542,365,431.56549,522,581.23468,824,239.94419,944,982.74
  非流动资产合计2,123,329,760.482,155,599,351.622,134,918,048.882,120,360,338.91
  资产总计3,402,042,824.073,397,070,498.673,544,479,270.043,588,432,252.75
流动负债:
  短期借款669,246,875.09533,945,325.02476,390,900.92385,363,032.57
  应付票据及应付账款119,610,123.4497,927,155.39124,332,578.42137,628,508.83
        应付账款119,610,123.4497,927,155.39124,332,578.42137,628,508.83
  合同负债23,450,767.7822,061,158.6546,022,247.1545,475,131.51
  应付职工薪酬18,033,595.0928,589,771.1527,226,747.2323,143,160.69
  应交税费9,597,927.0116,989,275.4717,447,406.6314,390,751.79
  其他应付款合计66,707,441.8166,121,326.9964,235,525.2362,362,448.49
  一年内到期的非流动负债124,393,350.01262,503,178.8381,353,104.11490,854,144.96
  其他流动负债1,951,650.412,099,481.551,646,970.571,567,645.72
  流动负债合计1,032,991,730.641,030,236,673.021,138,655,480.261,160,784,824.56
非流动负债:
  长期借款53,000,00053,000,00089,000,000106,500,000
  递延收益32,277,156.8133,078,001.0234,101,738.4435,132,065.78
  非流动负债合计85,277,156.8186,078,001.02123,101,738.44141,632,065.78
  负债合计1,118,268,887.451,116,314,674.041,261,757,218.71,302,416,890.34
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3,593,886.094,962,068.495,974,846.656,740,576.8
  专项储备439,099.39-1,366,471.271,201,051.96
  盈余公积182,490,440.5182,490,440.5182,490,440.5182,490,440.5
  未分配利润607,692,742.4592,407,461.2581,838,028.04570,475,199.46
  归属于母公司股东权益合计2,330,462,114.892,316,105,916.72,307,915,732.972,297,153,215.23
  少数股东权益-46,688,178.27-35,350,092.07-25,193,681.63-11,137,852.82
  股东权益合计2,283,773,936.622,280,755,824.632,282,722,051.342,286,015,362.41
  负债和股东权益合计3,402,042,824.073,397,070,498.673,544,479,270.043,588,432,252.75
公告日期2026-04-292026-04-222025-10-302025-08-26
审计意见(境内)标准无保留意见
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