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领益智造

(002600)

  

流通市值:1217.47亿  总市值:1235.82亿
流通股本:72.00亿   总股本:73.08亿

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5,396,992,988.026,183,127,578.464,582,718,493.415,376,025,839.01
  交易性金融资产1,005,004,797.661,529,402,409.972,446,123,604.731,081,847,354.61
  应收票据及应收账款12,612,047,032.0414,023,705,253.3512,877,750,314.4611,312,253,303.1
  其中:应收票据363,892,274.13253,945,303.23139,538,553.3389,094,952.19
        应收账款12,248,154,757.9113,769,759,950.1212,738,211,761.1311,223,158,350.91
  应收款项融资457,654,078.1403,378,297.24210,345,361.36203,406,360.6
  预付款项196,008,308.24126,352,737.35119,111,856.07127,708,130.62
  其他应收款合计351,456,332.98426,267,877.26349,960,074.18261,552,618.34
        应收股利---399,657.27
  存货6,977,163,327.097,189,891,213.027,556,780,775.716,009,251,213.96
  合同资产1,557,069.9480,151.5--
  其他流动资产1,380,271,901.691,400,040,306.391,170,160,877.431,149,394,781.55
  流动资产合计28,378,155,835.7631,282,245,824.5429,312,951,357.3525,521,439,601.79
非流动资产:
  长期股权投资788,455,462.46796,950,944.27654,021,182.75586,897,870.79
  其他权益工具投资85,101,212.4585,325,212.45111,333,60072,681,600
  其他非流动金融资产19,126,616.3618,126,616.36-148,633,679.7
  投资性房地产269,141,897.03275,232,142.89280,317,645.02267,151,735.49
  固定资产14,272,466,342.6114,444,823,272.0911,662,111,076.9811,033,159,378.52
  在建工程3,367,188,892.692,859,779,949.073,464,515,704.443,017,941,613.7
  使用权资产1,452,688,582.691,386,698,847.811,095,176,636.631,157,841,412.36
  无形资产1,373,038,594.041,261,886,025.89934,058,363.56955,880,111.96
  商誉3,487,654,996.12,703,669,154.541,173,941,171.611,173,941,171.61
  长期待摊费用629,481,062.25529,039,112.62487,508,002.84508,094,724.81
  递延所得税资产768,953,108.24732,459,945.09655,910,840.04590,776,598.23
  其他非流动资产1,341,710,100.041,524,213,953.71,926,220,033.981,963,826,853.86
  非流动资产合计27,855,006,866.9626,618,205,176.7822,445,114,257.8521,476,826,751.03
  资产总计56,233,162,702.7257,900,451,001.3251,758,065,615.246,998,266,352.82
流动负债:
  短期借款4,669,116,895.664,531,560,030.933,209,995,306.821,965,789,819.88
  交易性金融负债65,348,446.27---
  应付票据及应付账款11,667,294,098.5514,103,284,202.3911,817,001,305.369,697,090,872.96
  其中:应付票据1,423,257,433.691,611,216,404.47588,472,437.34440,004,780.03
        应付账款10,244,036,664.8612,492,067,797.9211,228,528,868.029,257,086,092.93
  预收款项151,595.4573,527.7716,693.1832,693.21
  合同负债52,424,614.4992,664,384.2822,771,109.5228,664,218.78
  应付职工薪酬463,541,397.75586,495,596.73520,083,990.98407,461,870.4
  应交税费635,830,484.13690,039,937.01681,702,815.57509,513,543.24
  其他应付款合计940,179,708.131,175,817,216.22895,814,995.38697,857,516.31
        应付股利6,351,916.786,351,916.78151,708,496.326,351,914.78
  一年内到期的非流动负债5,238,674,792.385,120,134,579.164,669,332,634.123,459,498,288.66
  其他流动负债202,457,051.48183,943,656.24226,626,251.31134,418,343.81
  流动负债合计23,935,019,084.2426,484,513,130.7322,043,345,102.2416,900,327,167.25
非流动负债:
  长期借款4,832,079,436.284,299,483,172.844,495,712,312.15,554,522,230.24
  应付债券---2,100,572,077.18
  租赁负债1,179,946,385.871,116,941,539.44852,915,594.41898,662,583.23
  长期应付款8,479,382.53---
  长期应付职工薪酬38,076,799.6836,812,896.54--
  递延收益618,082,914.82627,581,893.02719,404,525.04683,838,750.64
  递延所得税负债328,435,988.44340,876,256.99372,574,211.07373,422,650.27
  其他非流动负债403,111,687.94636,293,850.39--
  非流动负债合计7,408,212,595.567,057,989,609.226,440,606,642.629,611,018,291.56
  负债合计31,343,231,679.833,542,502,739.9528,483,951,744.8626,511,345,458.81
所有者权益(或股东权益):
  实收资本(或股本)1,831,306,901.041,830,828,680.31,808,793,180.911,756,180,205.13
  其他权益工具--3,535,483.3934,274,716.83
  资本公积11,535,566,256.0111,429,755,296.0410,997,301,409.619,025,093,038.9
  减:库存股405,112,535.77405,112,535.77544,729,580.26545,693,007.62
  其他综合收益-388,095,262.41-243,601,997.86-161,898,278.02-73,436,073.01
  盈余公积987,000,000987,000,000987,000,000987,000,000
  未分配利润10,832,914,689.3310,441,272,317.1210,094,909,189.289,228,754,759.11
  归属于母公司股东权益合计24,393,580,048.224,040,141,759.8323,184,911,404.9120,412,173,639.34
  少数股东权益496,350,974.72317,806,501.5489,202,465.4374,747,254.67
  股东权益合计24,889,931,022.9224,357,948,261.3723,274,113,870.3420,486,920,894.01
  负债和股东权益合计56,233,162,702.7257,900,451,001.3251,758,065,615.246,998,266,352.82
公告日期2026-04-302026-03-282025-10-302025-08-30
审计意见(境内)标准无保留意见
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