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视源股份

(002841)

  

流通市值:191.14亿  总市值:256.13亿
流通股本:5.19亿   总股本:6.96亿

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2,924,045,072.292,528,637,075.843,608,013,912.242,878,381,532.24
  交易性金融资产733,530,241.91,369,634,620.51,544,108,853.781,243,759,198.99
  衍生金融资产10,433,232.812,918,974.5410,601,268.6413,843,450
  应收票据及应收账款653,674,475.34575,083,288.31852,966,096.78652,708,335.12
  其中:应收票据39,163,602.2227,710,664.7251,139,714.1876,277,836.05
        应收账款614,510,873.12547,372,623.61601,826,382.6576,430,499.07
  应收款项融资16,915,952.87110,917,757188,724,496.3889,647,676.36
  预付款项377,254,105.04257,886,311.6798,553,921.2162,205,108.83
  其他应收款合计73,361,951.7693,649,477.91171,868,020.4286,003,080.19
        应收股利---99,710.77
  存货6,496,779,114.724,587,321,547.473,719,278,898.313,848,159,898.54
  一年内到期的非流动资产3,204,356,107.983,227,162,779.342,627,485,954.9810,211,618.78
  其他流动资产612,471,910.48499,723,386.44432,963,664.91567,271,567.84
  流动资产合计15,102,822,165.1813,262,935,219.0213,254,565,087.5710,252,191,466.89
非流动资产:
  债权投资5,464,283,262.465,492,735,091.925,578,027,417.87,361,763,987.24
  长期应收款10,055,585.613,994,443.07--
  长期股权投资181,736,723.57203,603,294.51210,205,363.93323,012,773.63
  其他权益工具投资111,847,483.9173,460,498.5674,285,113.7569,759,394.83
  其他非流动金融资产477,867,024.28442,726,368.98237,457,614.74238,588,626.92
  固定资产4,018,645,629.214,007,320,900.434,017,422,213.313,815,544,445.75
  在建工程758,628,112.02627,411,529.17586,790,244.43681,068,626.74
  使用权资产54,943,093.8946,565,793.5953,574,576.9140,816,778.25
  无形资产1,167,251,584.911,007,118,337.781,015,826,733.39997,199,894.32
  开发支出12,206,070.0113,885,306.054,755,822.322,557,084.67
  商誉428,460,401.49326,912,417.45327,176,327.43266,272,002.47
  长期待摊费用104,663,051.897,450,265.6290,838,316.389,660,786.92
  递延所得税资产536,642,468.15497,374,026.11494,164,614.36509,064,072.21
  其他非流动资产103,479,661.2435,509,492.8247,092,551.7346,969,322.42
  非流动资产合计13,430,710,152.5512,876,067,766.0612,737,616,910.414,442,277,796.37
  资产总计28,533,532,317.7326,139,002,985.0825,992,181,997.9724,694,469,263.26
流动负债:
  短期借款5,001,274,775.913,724,955,826.453,835,185,141.323,707,404,143.09
  衍生金融负债4,401,6001,799,000299,800-
  应付票据及应付账款5,239,556,097.854,746,557,649.554,874,592,156.544,625,806,881.65
  其中:应付票据388,836,574.78335,526,015.09298,783,451.96254,919,872.34
        应付账款4,850,719,523.074,411,031,634.464,575,808,704.584,370,887,009.31
  合同负债1,996,486,026.581,508,419,567.241,467,894,693.381,297,265,295.34
  应付职工薪酬300,756,415.85455,809,619.68328,733,996.57276,819,784.96
  应交税费66,045,983.6490,564,731.41102,536,087.2565,504,345.15
  其他应付款合计651,292,174.79739,334,803.13771,912,516.49752,578,288.99
        应付股利943,828.3900-
  一年内到期的非流动负债299,264,385.97307,471,547.47337,930,370.99330,061,854.61
  其他流动负债202,767,032.98131,529,276.95124,794,831.53111,385,747.39
  流动负债合计13,761,844,493.5711,706,442,021.8811,843,879,594.0711,166,826,341.18
非流动负债:
  长期借款276,411,038.7235,008,693.99184,419,294.88138,787,234.07
  租赁负债36,362,242.828,950,241.0935,926,394.3423,430,245.53
  预计负债99,467,525.95111,005,458.0978,889,164.8176,779,048.92
  递延收益146,288,140.85148,033,087.09149,045,739.04147,066,906.93
  递延所得税负债42,295,707.2324,810,483.1427,949,740.9124,005,785.11
  非流动负债合计600,824,655.53547,807,963.4476,230,333.98410,069,220.56
  负债合计14,362,669,149.112,254,249,985.2812,320,109,928.0511,576,895,561.74
所有者权益(或股东权益):
  实收资本(或股本)696,016,545696,016,545696,016,545696,016,545
  资本公积3,834,572,225.543,825,982,159.163,804,500,556.923,790,262,561.53
  减:库存股149,547,777149,547,777186,732,054.96186,732,054.96
  其他综合收益48,920,797.959,190,753.5565,629,067.6759,701,629.95
  盈余公积350,619,522.5350,619,522.5350,619,522.5350,619,522.5
  未分配利润8,803,248,028.198,556,348,167.468,410,230,309.477,940,286,270.51
  归属于母公司股东权益合计13,583,829,342.1313,338,609,370.6713,140,263,946.612,650,154,474.53
  少数股东权益587,033,826.5546,143,629.13531,808,123.32467,419,226.99
  股东权益合计14,170,863,168.6313,884,752,999.813,672,072,069.9213,117,573,701.52
  负债和股东权益合计28,533,532,317.7326,139,002,985.0825,992,181,997.9724,694,469,263.26
公告日期2026-04-232026-03-252025-10-212025-08-27
审计意见(境内)标准无保留意见
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