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领益智造

(002600)

  

流通市值:1150.14亿  总市值:1167.55亿
流通股本:71.70亿   总股本:72.79亿

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5,376,025,839.015,725,169,307.916,573,409,034.733,531,083,169.59
  交易性金融资产1,081,847,354.61458,018,284.656,960,000165,105,136.18
  应收票据及应收账款11,312,253,303.110,778,487,661.0311,549,131,753.6711,097,906,793.99
  其中:应收票据89,094,952.1987,084,154.13104,487,696.64152,362,617.53
        应收账款11,223,158,350.9110,691,403,506.911,444,644,057.0310,945,544,176.46
  应收款项融资203,406,360.6224,585,350.38248,517,176.68173,706,943.43
  预付款项127,708,130.62111,315,850.06120,097,728.9136,904,782.49
  其他应收款合计261,552,618.34219,528,386.35378,192,394.26291,951,573.72
        应收股利399,657.273,000,00012,364,135.19-
  存货6,009,251,213.965,497,088,580.195,859,233,677.836,051,801,691.79
  其他流动资产1,149,394,781.551,128,722,748.57810,289,503.31854,145,693.24
  流动资产合计25,521,439,601.7924,142,916,169.1425,545,831,269.3822,302,605,784.43
非流动资产:
  长期股权投资586,897,870.79570,750,416.55569,274,735.06551,929,019.4
  其他权益工具投资72,681,60073,161,60073,801,60074,569,600
  其他非流动金融资产148,633,679.7158,055,268.14204,026,122.08251,711,711.46
  投资性房地产267,151,735.49268,716,928.56278,088,928.6941,908,886.11
  固定资产11,033,159,378.5211,064,830,091.4111,055,728,398.210,706,684,377.81
  在建工程3,017,941,613.72,237,620,389.882,078,085,791.331,981,205,496.29
  使用权资产1,157,841,412.36840,049,021.93704,596,825.15706,410,674.86
  无形资产955,880,111.96977,814,195.27995,406,296.131,032,387,463.47
  开发支出-5,269,727.77,917,337.377,917,337.37
  商誉1,173,941,171.611,173,941,171.611,173,941,171.611,302,622,286.68
  长期待摊费用508,094,724.81526,995,529.94520,997,672.43533,621,682.53
  递延所得税资产590,776,598.23653,406,849.39676,936,003.47663,284,118.11
  其他非流动资产1,963,826,853.861,920,901,936.041,308,852,248.251,426,580,967.24
  非流动资产合计21,476,826,751.0320,471,513,126.4219,647,653,129.7719,280,833,621.33
  资产总计46,998,266,352.8244,614,429,295.5645,193,484,399.1541,583,439,405.76
流动负债:
  短期借款1,965,789,819.881,249,853,950.19929,239,473.931,563,179,472.91
  交易性金融负债-31,946,575.63130,182,523.65-
  应付票据及应付账款9,697,090,872.968,866,654,397.8310,418,316,152.199,081,481,571.31
  其中:应付票据440,004,780.03684,707,599.84687,029,402.67466,190,011.93
        应付账款9,257,086,092.938,181,946,797.999,731,286,749.528,615,291,559.38
  预收款项32,693.21319,411.571,654,221.22990,348.98
  合同负债28,664,218.7835,659,482.4326,435,199.1620,309,563.73
  应付职工薪酬407,461,870.4329,265,236.74442,570,150.13290,524,250.2
  应交税费509,513,543.24345,436,796.72451,405,014.62368,493,464.95
  其他应付款合计697,857,516.31621,688,008.99679,206,934.41566,150,799.33
        应付股利6,351,914.786,351,912.786,351,912.787,317,387.78
  一年内到期的非流动负债3,459,498,288.663,308,268,080.222,559,919,303.772,449,172,289.51
  其他流动负债134,418,343.81187,330,521.95159,252,788.14269,786,109.28
  流动负债合计16,900,327,167.2514,976,422,462.2715,798,181,761.2214,610,087,870.2
非流动负债:
  长期借款5,554,522,230.245,308,193,001.675,826,760,174.155,821,443,685.21
  应付债券2,100,572,077.182,088,273,840.832,076,016,656.05-
  租赁负债898,662,583.23659,554,265.97503,406,344.51527,870,255.44
  预计负债--5,962,337.099,534,342.33
  递延收益683,838,750.64711,072,773.41747,274,977.63753,913,414.21
  递延所得税负债373,422,650.27391,970,872.69386,900,894.49405,991,281.87
  非流动负债合计9,611,018,291.569,159,064,754.579,546,321,383.927,518,752,979.06
  负债合计26,511,345,458.8124,135,487,216.8425,344,503,145.1422,128,840,849.26
所有者权益(或股东权益):
  实收资本(或股本)1,756,180,205.131,756,179,160.911,756,179,160.911,756,179,160.91
  其他权益工具34,274,716.8345,700,714.3145,700,714.31-
  资本公积9,025,093,038.98,958,837,226.158,916,083,160.698,803,739,749.85
  减:库存股545,693,007.62226,749,531.24226,749,531.24289,409,941.11
  其他综合收益-73,436,073.01-116,249,643.42-130,936,057.59-48,207,157
  盈余公积987,000,000987,000,000987,000,000949,837,059.96
  未分配利润9,228,754,759.119,004,238,285.458,439,057,492.278,222,654,520.07
  归属于母公司股东权益合计20,412,173,639.3420,408,956,212.1619,786,334,939.3519,394,793,392.68
  少数股东权益74,747,254.6769,985,866.5662,646,314.6659,805,163.82
  股东权益合计20,486,920,894.0120,478,942,078.7219,848,981,254.0119,454,598,556.5
  负债和股东权益合计46,998,266,352.8244,614,429,295.5645,193,484,399.1541,583,439,405.76
公告日期2025-08-302025-04-292025-03-292024-10-31
审计意见(境内)标准无保留意见
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