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银宝山新

(002786)

  

流通市值:38.39亿  总市值:38.51亿
流通股本:4.94亿   总股本:4.96亿

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133,057,966.8159,383,122.58143,749,344.95108,789,525.06
  结算备付金---0
  拆出资金---0
  应收票据及应收账款509,545,509.88541,523,297574,068,516.7514,907,659.9
  其中:应收票据100,841,179.4114,533,680.33122,999,041.3584,136,809.73
        应收账款408,704,330.48426,989,616.67451,069,475.35430,770,850.17
  应收款项融资8,755,824.5623,296,515.3717,129,405.3413,391,143.08
  预付款项26,103,743.223,187,614.9236,623,914.834,401,344.75
  应收保费00-0
  应收分保账款---0
  应收分保合同准备金---0
  其他应收款合计18,527,358.0318,649,471.1120,759,630.1724,122,201.69
  买入返售金融资产---0
  存货769,704,703.25803,071,344.12725,117,472.7721,638,354.3
  合同资产40,000,00040,000,00040,000,00040,000,000
  其他流动资产34,495,869.6123,948,928.1425,379,044.0122,738,298.85
  流动资产合计1,540,190,975.331,633,060,293.241,582,827,328.671,479,988,527.63
非流动资产:
  发放委托贷款及垫款---0
  长期股权投资1,540,710.332,227,777.54453,783.391,271,924.11
  其他非流动金融资产35,924,369.8741,069,291.6742,293,042.1142,064,139.15
  固定资产992,794,606.041,011,013,740.091,027,567,041.851,037,314,086.48
  在建工程65,610,298.6765,704,870.8885,518,893.986,363,917.03
  使用权资产34,501,086.1735,324,736.3847,102,11735,233,195.88
  无形资产119,709,315.54122,176,592.92124,228,161.35124,851,129.39
  长期待摊费用9,690,529.4610,837,556.1314,236,155.516,467,265.07
  递延所得税资产27,468,502.1727,897,887.6128,654,279.7226,919,777.9
  其他非流动资产696,375,878.48675,907,233.49681,406,977.6683,432,617.76
  非流动资产合计1,983,615,296.731,992,159,686.712,051,460,452.422,053,918,052.77
  资产总计3,523,806,272.063,625,219,979.953,634,287,781.093,533,906,580.4
流动负债:
  短期借款350,473,517.5351,861,561.72365,809,207.05367,755,218.96
  向中央银行借款---0
  吸收存款及同业存放---0
  拆入资金---0
  应付票据及应付账款983,524,093.741,011,613,715.24973,006,729.59983,895,248.06
  其中:应付票据228,861,042.63258,293,250.03249,077,350.85253,525,715.37
        应付账款754,663,051.11753,320,465.21723,929,378.74730,369,532.69
  合同负债264,129,413.33287,733,526.66284,203,936.82226,553,403.46
  卖出回购金融资产款00-0
  应付手续费及佣金---0
  应付职工薪酬55,200,240.5456,484,184.5933,647,036.7842,812,777.23
  应交税费14,496,588.4412,854,970.3320,105,578.0314,517,762.21
  其他应付款合计1,047,033,058.581,079,285,267.891,052,380,642.471,033,384,683.36
        应付股利3,430,0003,430,0005,430,0003,430,000
  应付分保账款---0
  保险合同准备金---0
  代理买卖证券款---0
  代理承销证券款---0
  一年内到期的非流动负债40,687,374.3539,246,480.7344,383,936.345,820,640.06
  其他流动负债85,599,698.18104,105,033.54108,109,687.9280,444,810.49
  流动负债合计2,841,143,984.662,943,184,740.72,881,646,754.962,795,184,543.83
非流动负债:
  长期借款316,923,440.44326,937,724.52331,489,140.44336,147,640.44
  优先股---0
  永续债---0
  租赁负债17,601,541.3719,356,236.9423,469,965.6817,552,873.71
  预计负债2,667,832.812,819,756.9100
  递延收益189,230,266.54190,993,335.77192,823,150.13194,648,165.52
  递延所得税负债8,866,964.198,866,964.198,533,090.686,397,196.13
  非流动负债合计535,290,045.35548,974,018.33556,315,346.93554,745,875.8
  负债合计3,376,434,030.013,492,158,759.033,437,962,101.893,349,930,419.63
所有者权益(或股东权益):
  实收资本(或股本)495,612,000495,612,000495,612,000495,612,000
  其他权益工具---0
  优先股---0
  永续债---0
  资本公积596,764,082.87596,764,082.87595,712,148.09595,712,148.09
  其他综合收益-3,235,051.62-5,773,230.61-6,923,974.23-8,294,835.98
  专项储备25,915,982.8624,525,126.223,311,723.3921,300,237.02
  盈余公积107,777,971.87107,777,971.87107,777,971.87107,777,971.87
  一般风险准备00-0
  未分配利润-1,023,592,477.35-1,037,961,843.83-985,968,455.52-1,001,548,333.9
  归属于母公司股东权益合计199,242,508.63180,944,106.5229,521,413.6210,559,187.1
  少数股东权益-51,870,266.58-47,882,885.58-33,195,734.4-26,583,026.33
  股东权益合计147,372,242.05133,061,220.92196,325,679.2183,976,160.77
  负债和股东权益合计3,523,806,272.063,625,219,979.953,634,287,781.093,533,906,580.4
公告日期2026-04-292026-04-292025-10-282025-08-30
审计意见(境内)标准无保留意见
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