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博实股份

(002698)

  

流通市值:135.98亿  总市值:165.25亿
流通股本:8.41亿   总股本:10.23亿

资产负债表

报告期2025-09-302025-06-302025-03-312024-12-31
公司类型通用通用通用通用
流动资产:
  货币资金694,935,625.36770,277,016.91843,036,452.3555,996,398.59
  交易性金融资产1,090,367,213.05988,953,097.961,112,186,420.041,934,953,566.81
  应收票据及应收账款1,386,747,377.411,373,927,814.781,391,426,706.341,398,289,775.5
  其中:应收票据157,318,664.43175,573,025.96182,619,443.4197,170,155.6
        应收账款1,229,428,712.981,198,354,788.821,208,807,262.941,201,119,619.9
  应收款项融资52,396,234.7279,608,192.3983,529,638.9553,851,796.67
  预付款项124,714,366.15112,539,101.3699,602,034.3369,344,997.81
  其他应收款合计27,740,356.338,188,984.3931,175,302.9636,340,345.23
  其中:应收利息--00
        应收股利-7,199,8202,600,701.328,360,557.32
  存货2,044,963,916.862,087,902,326.572,051,243,686.742,072,436,762.83
  合同资产197,348,994.98183,711,499.99196,334,663156,905,007.88
  一年内到期的非流动资产17,667,851.065,003,479.194,422,459.268,666,821.13
  其他流动资产16,598,952.4219,755,625.5214,618,805.6520,661,815.01
  流动资产合计5,653,480,888.315,659,867,139.065,827,576,169.625,807,447,287.46
非流动资产:
  长期应收款34,639,042.6714,460,571.5212,520,395.3112,520,693.35
  长期股权投资530,606,741.67529,582,435.01526,743,586.1523,324,767.86
  其他权益工具投资61,002,054.3961,002,054.3961,002,054.3961,002,054.39
  投资性房地产8,984,029.099,129,139.1210,897,265.0811,072,140.54
  固定资产363,863,208.07364,028,135.42360,728,912.05362,897,699.4
  在建工程14,389,872.8714,372,900.3867,061.362,023,251.2
  使用权资产3,586,361.072,729,734.073,492,442.784,223,259.8
  无形资产50,951,449.7452,099,263.0252,839,839.6354,090,016
  商誉401,878.1401,878.1401,878.1401,878.1
  长期待摊费用51,988.0559,773.5667,559.0775,344.58
  递延所得税资产62,631,021.2954,088,815.1246,767,381.4944,266,405.83
  其他非流动资产19,203,422.4523,538,382.0536,787,716.6872,004,147.13
  非流动资产合计1,150,311,069.461,125,493,081.761,112,316,092.041,147,901,658.18
  资产总计6,803,791,957.776,785,360,220.826,939,892,261.666,955,348,945.64
流动负债:
  短期借款37,947,002.8733,788,585.7237,376,419.4736,873,798.71
  应付票据及应付账款250,536,432.19255,386,226.02257,728,208.44287,672,496.07
        应付账款250,536,432.19255,386,226.02257,728,208.44287,672,496.07
  预收款项--70,30596,750
  合同负债1,458,536,712.381,639,630,342.521,662,214,399.491,806,791,270.47
  应付职工薪酬20,216,648.9320,858,210.9421,149,184.7877,703,338.35
  应交税费43,261,324.7442,576,532.4850,021,191.0245,232,724.27
  其他应付款合计51,767,824.854,474,178.5752,607,066.4254,407,824.55
  其中:应付利息-00-
        应付股利4,900,0004,900,0004,900,0004,900,000
  一年内到期的非流动负债2,119,929.465,007,561.574,287,856.323,296,253.38
  其他流动负债105,217,062.11128,682,189.86129,593,087.56126,947,921.74
  流动负债合计1,969,602,937.482,180,403,827.682,215,047,718.52,439,022,377.54
非流动负债:
  应付债券458,381,937.47454,765,623.33451,142,918.03447,585,593.01
  租赁负债726,142.68327,987.26324,557.16752,611.54
  预计负债5,578,763.554,482,290.987,625,730.559,906,258.47
  递延收益22,873,611.121,498,00011,419,0001,340,000
  递延所得税负债20,210,094.319,647,549.1218,551,365.9317,190,937.9
  其他非流动负债151,108,500.11106,291,538.01114,414,453.3988,916,685.57
  非流动负债合计658,879,049.21607,012,988.7603,478,025.06565,692,086.49
  负债合计2,628,481,986.692,787,416,816.382,818,525,743.563,004,714,464.03
所有者权益(或股东权益):
  实收资本(或股本)1,022,561,2711,022,560,8731,022,560,8731,022,559,197
  其他权益工具27,205,845.1527,206,208.0432,091,358.5832,093,192.04
  资本公积371,643,072.08357,605,995.8346,044,203.19333,197,886.86
  减:库存股41,777,510.241,777,510.241,777,510.241,777,510.2
  其他综合收益29,197,083.229,261,494.4128,610,120.6128,344,422.67
  专项储备28,584,900.1328,429,379.3728,068,141.7727,453,042.66
  盈余公积397,185,756.08397,185,756.08397,185,756.08397,185,756.08
  未分配利润2,161,360,641.112,013,108,567.712,141,436,547.281,991,376,325.85
  归属于母公司股东权益合计3,995,961,058.553,833,580,764.213,954,219,490.313,790,432,312.96
  少数股东权益179,348,912.53164,362,640.23167,147,027.79160,202,168.65
  股东权益合计4,175,309,971.083,997,943,404.444,121,366,518.13,950,634,481.61
  负债和股东权益合计6,803,791,957.776,785,360,220.826,939,892,261.666,955,348,945.64
公告日期2025-10-302025-08-282025-04-262025-04-26
审计意见(境内)标准无保留意见
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