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快意电梯

(002774)

  

流通市值:28.23亿  总市值:33.74亿
流通股本:2.82亿   总股本:3.37亿

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244,416,390.84202,787,712.18193,128,471.23287,254,691.42
  交易性金融资产525,794,745.29638,271,213.22657,108,835.31545,303,370.72
  应收票据及应收账款236,006,292.13234,224,192.02232,863,526.16217,267,826.91
  其中:应收票据3,388,700.424,228,4041,085,643.875,057,802
        应收账款232,617,591.71229,995,788.02231,777,882.29212,210,024.91
  预付款项5,074,147.175,857,780.944,496,379.899,742,380.22
  其他应收款合计9,181,468.349,476,032.9511,261,771.6317,481,567.54
  存货257,706,731.25251,971,163.01260,223,807.86299,748,794.81
  合同资产89,430,175.4658,825,169.3877,949,892.1460,315,965.21
  其他流动资产14,110,578.720,742,612.1121,955,051.0520,047,940.72
  流动资产合计1,381,720,529.181,422,155,875.811,458,987,735.271,457,162,537.55
非流动资产:
  投资性房地产13,491,352.8913,760,822.414,030,291.9113,567,846.21
  固定资产177,400,178.67180,355,119.04185,278,179.48169,028,508.54
  在建工程231,899,933.2225,962,107.93212,604,746.16182,807,880.98
  使用权资产731,694.96737,948.76744,202.56750,456.36
  无形资产128,884,886.55129,841,891.26130,799,338.44131,756,785.51
  长期待摊费用1,393,239.541,611,601.141,776,123.032,064,388.5
  递延所得税资产24,532,025.6124,519,355.2924,341,853.7224,124,485.49
  其他非流动资产9,961,437.579,726,806.0613,398,116.5239,456,497.73
  非流动资产合计588,294,748.99586,515,651.88582,972,851.82563,556,849.32
  资产总计1,970,015,278.172,008,671,527.692,041,960,587.092,020,719,386.87
流动负债:
  短期借款48,586,929.1628,492,092.73440,000-
  应付票据及应付账款270,591,471.88252,977,311.91302,963,774.54274,094,501.35
  其中:应付票据42,136,633.3755,882,538.7253,518,803.4550,767,681.06
        应付账款228,454,838.51197,094,773.19249,444,971.09223,326,820.29
  预收款项36,045,185.431,945,141.5235,279,635.4229,019,925.04
  合同负债307,301,450.29295,925,058.47291,134,326.53357,483,233.49
  应付职工薪酬21,309,150.3616,972,834.5629,752,226.6623,347,614.93
  应交税费9,757,160.158,846,926.1215,035,018.214,973,097.58
  其他应付款合计3,742,730.013,639,591.44,083,650.344,301,191.6
  其他流动负债33,068,161.2532,090,536.5335,613,158.838,582,470.35
  流动负债合计730,402,238.5670,889,493.24714,301,790.49741,802,034.34
非流动负债:
  预计负债23,526,210.823,666,948.9125,215,183.5924,217,771.16
  递延收益34,729,434.9635,054,838.2435,380,241.5235,705,644.8
  递延所得税负债221,631.79267,913.98311,543.345,505.61
  其他非流动负债000-
  非流动负债合计58,477,277.5558,989,701.1360,906,968.4159,968,921.57
  负债合计788,879,516.05729,879,194.37775,208,758.9801,770,955.91
所有者权益(或股东权益):
  实收资本(或股本)336,687,900336,687,900336,687,900336,687,900
  资本公积415,305,301.27415,305,301.27415,305,301.27415,305,301.27
  减:库存股000-
  其他综合收益-1,652,106.15-1,689,514.09-1,750,647.78-1,616,910.06
  专项储备25,249,852.1324,602,86023,919,211.1723,117,365.94
  盈余公积129,492,441.09129,492,441.09129,492,441.09116,403,220.89
  未分配利润275,722,384.23374,100,372.75362,871,300.92328,830,275.44
  归属于母公司股东权益合计1,180,805,772.571,278,499,361.021,266,525,506.671,218,727,153.48
  少数股东权益329,989.55292,972.3226,321.52221,277.48
  股东权益合计1,181,135,762.121,278,792,333.321,266,751,828.191,218,948,430.96
  负债和股东权益合计1,970,015,278.172,008,671,527.692,041,960,587.092,020,719,386.87
公告日期2025-08-282025-04-282025-03-262024-10-29
审计意见(境内)标准无保留意见
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