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勤上股份

(002638)

  

流通市值:34.48亿  总市值:36.78亿
流通股本:13.47亿   总股本:14.37亿

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223,514,959.04235,637,174.85194,101,874.8254,830,924.15
  交易性金融资产646,049,121.75605,886,868.21707,665,066.03672,369,396.52
  应收票据及应收账款281,583,918.85322,833,898.27254,586,450.03252,860,017.47
  其中:应收票据215,775268,500291,0762,448,467.35
        应收账款281,368,143.85322,565,398.27254,295,374.03250,411,550.12
  预付款项21,493,607.720,541,646.6819,237,348.9129,735,759.67
  其他应收款合计12,542,872.4512,975,401.714,019,843.3212,615,382.48
  存货69,011,503.289,149,167.79138,016,418.45125,599,146.27
  合同资产363,232.82405,293.91405,293.91426,058.9
  一年内到期的非流动资产3,476,578.783,720,281.743,164,133.96,923,529.43
  其他流动资产125,412,259.79128,674,484.38133,028,212.74125,657,849.61
  流动资产合计1,383,448,054.381,419,824,217.531,464,224,642.091,481,018,064.5
非流动资产:
  长期应收款20,012,143.0620,012,143.0620,012,143.066,006,352.56
  长期股权投资266,975,737.6267,870,877.85269,096,110.45315,699,775.98
  投资性房地产10,763,183.5810,811,271.7810,872,923.1411,130,210.19
  固定资产79,529,355.4481,000,53481,458,210.9108,408,102.55
  在建工程418,930,453.35407,760,925.41404,965,276.84442,246,557.87
  使用权资产6,285,948.837,422,401.378,951,990.810,332,827.86
  无形资产230,493,771.05234,022,967.93237,552,164.8268,739,795.49
  开发支出6,450,169.335,387,121.154,432,812.3212,110,734.66
  长期待摊费用966,476.12729,017.75817,013.18732,885.94
  递延所得税资产72,401,770.2570,179,821.7670,390,856.4472,978,876.52
  非流动资产合计1,112,809,008.611,105,197,082.061,108,549,501.931,248,386,119.62
  资产总计2,496,257,062.992,525,021,299.592,572,774,144.022,729,404,184.12
流动负债:
  应付票据及应付账款82,672,145.1495,689,153.4129,177,863.6171,748,403.68
        应付账款82,672,145.1495,689,153.4129,177,863.6171,748,403.68
  合同负债31,490,567.7424,392,223.0323,642,241.0627,875,164.44
  应付职工薪酬6,973,066.898,552,511.7610,951,635.737,716,698.4
  应交税费41,305,052.6938,224,413.3740,171,657.2538,739,779.57
  其他应付款合计69,473,063.9268,104,597.8370,136,108.0172,146,805
  一年内到期的非流动负债7,363,368.2210,446,987.5912,008,378.644,861,990.9
  其他流动负债1,438,308.321,479,781.781,463,318.271,422,366.22
  流动负债合计240,715,572.92246,889,668.76287,551,202.57224,511,208.21
非流动负债:
  租赁负债3,459,529.423,225,369.013,161,563.3810,266,070.95
  长期应付款4,301,828.744,301,828.744,301,828.745,549,233.18
  预计负债1,071,833.671,065,487.731,065,487.73782,580.18
  递延收益34,553,472.2236,653,888.8936,653,888.8938,754,305.55
  递延所得税负债881,088.481,082,465.741,351,309.751,507,426.53
  非流动负债合计44,267,752.5346,329,040.1146,534,078.4956,859,616.39
  负债合计284,983,325.45293,218,708.87334,085,281.06281,370,824.6
所有者权益(或股东权益):
  实收资本(或股本)1,436,594,3491,436,594,3491,436,594,3491,436,594,349
  资本公积3,363,616,082.483,363,616,082.483,363,616,082.483,363,616,082.48
  减:库存股30,050,162.7530,050,162.7530,050,162.7529,548,205.48
  其他综合收益-2,119,377.98-2,681,627.17-2,832,852.9-1,675,974.31
  盈余公积62,599,176.3662,599,176.3662,599,176.3662,599,176.36
  未分配利润-2,619,586,132.88-2,598,497,803.74-2,591,463,170.73-2,383,779,997.05
  归属于母公司股东权益合计2,211,053,934.232,231,580,014.182,238,463,421.462,447,805,431
  少数股东权益219,803.31222,576.54225,441.5227,928.52
  股东权益合计2,211,273,737.542,231,802,590.722,238,688,862.962,448,033,359.52
  负债和股东权益合计2,496,257,062.992,525,021,299.592,572,774,144.022,729,404,184.12
公告日期2025-08-292025-04-302025-04-232024-10-31
审计意见(境内)标准无保留意见
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