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*ST赛隆

(002898)

  

流通市值:8.40亿  总市值:14.61亿
流通股本:1.01亿   总股本:1.76亿

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29,206,267.6261,017,232.5927,830,758.516,877,461.7
  结算备付金-0--
  拆出资金-0--
  交易性金融资产-0--
  衍生金融资产-0--
  应收票据及应收账款147,686,964.65156,035,553.8472,017,152.4697,446,293.43
  其中:应收票据61,438,255.7262,306,834.19,573,182.396,041,369.49
        应收账款86,248,708.9393,728,719.7462,443,970.0791,404,923.94
  应收款项融资3,386,456.063,814,100.644,260,622.646,535,180.44
  预付款项66,361,345.1223,443,758.438,526,698.83,721,347.58
  应收保费-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6,785,23514,502,397.853,597,021.333,589,714.13
  其中:应收利息-0--
        应收股利-0--
  买入返售金融资产-0--
  存货111,233,187.4580,376,780.0699,598,057.3988,477,559.72
  合同资产-0--
  一年内到期的非流动资产-0--
  其他流动资产9,607,231.535,512,542.797,317,337.644,541,624.44
  流动资产合计374,266,687.43344,702,366.17253,147,648.77211,189,181.44
非流动资产:
  发放委托贷款及垫款-0--
  债权投资-0--
  其他债权投资-0--
  长期应收款-0--
  长期股权投资-0--
  其他权益工具投资-0--
  其他非流动金融资产4,900,0004,900,0004,900,0004,900,000
  投资性房地产17,885,165.3617,986,525.118,087,884.8418,189,244.58
  固定资产264,847,877.65270,043,300.78314,655,250.4321,394,012.31
  在建工程7,056,883.185,889,534.427,952,708.016,276,738.79
  生产性生物资产-0--
  油气资产-0--
  使用权资产70,309,634.771,434,843.2565,220,419.1563,099,722.24
  无形资产70,430,834.4171,653,241.2769,667,613.6669,387,247.1
  开发支出34,116,613.9733,421,641.3955,203,845.1155,455,328.86
  商誉-0--
  长期待摊费用5,170,586.75,434,146.224,893,112.894,919,285.16
  递延所得税资产5,078,729.45,512,105.452,341,558.121,636,001.64
  其他非流动资产1,218,383.491,126,146.811,474,124.17741,704.77
  非流动资产合计481,014,708.86487,401,484.69544,396,516.35545,999,285.45
  资产总计855,281,396.29832,103,850.86797,544,165.12757,188,466.89
流动负债:
  短期借款73,210,694.4584,932,291.67104,949,797.22123,269,822.78
  向中央银行借款-0--
  吸收存款及同业存放-0--
  拆入资金-0--
  交易性金融负债-0--
  衍生金融负债-0--
  应付票据及应付账款142,651,637.2999,300,255.7539,760,339.2660,821,749.72
  其中:应付票据10,000,00010,000,000--
        应付账款132,651,637.2989,300,255.7539,760,339.2660,821,749.72
  预收款项-0--
  合同负债15,652,351.923,393,240.9934,630,933.5712,497,388.7
  卖出回购金融资产款-0--
  应付手续费及佣金-0--
  应付职工薪酬5,625,698.46,105,054.245,125,695.655,066,151.49
  应交税费17,714,360.222,039,812.711,108,904.132,039,706.57
  其他应付款合计94,900,356.94105,963,735.4684,812,841.526,505,321.33
  其中:应付利息-0--
        应付股利-0--
  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30,018,904.3629,766,577.2527,945,640.3728,692,080.52
  其他流动负债60,759,729.7958,864,196.799,992,432.564,510,731.93
  流动负债合计440,533,733.35410,365,164.86308,326,584.28243,402,953.04
非流动负债:
  长期借款7,500,0008,000,0008,000,0008,500,000
  应付债券-0--
  优先股-0--
  永续债-0--
  租赁负债4,952,186.875,966,4661,725,813.7175,481.23
  长期应付款1,785,612.223,476,393.266,336,819.57,448,149.47
  长期应付职工薪酬-0--
  预计负债8,838,850.696,331,361.06--
  递延收益2,694,094.32,654,613.542,897,462.372,742,075.51
  递延所得税负债11,034,210.8411,155,067.889,783,062.99,464,958.35
  其他非流动负债-0--
  非流动负债合计36,804,954.9237,583,901.7428,743,158.4728,330,664.56
  负债合计477,338,688.27447,949,066.6337,069,742.75271,733,617.6
所有者权益(或股东权益):
  实收资本(或股本)176,000,000176,000,000176,000,000176,000,000
  其他权益工具-0--
  优先股-0--
  永续债-0--
  资本公积288,577,602.1288,577,602.1288,469,403.58288,469,403.58
  减:库存股-0--
  其他综合收益-0--
  专项储备2,325,545.561,995,258.951,656,463.351,070,930.51
  盈余公积18,009,717.2318,009,717.2318,009,717.2318,009,717.23
  一般风险准备-0--
  未分配利润-113,425,005.48-104,433,065.93-23,661,161.791,904,797.97
  归属于母公司股东权益合计371,487,859.41380,149,512.35460,474,422.37485,454,849.29
  少数股东权益6,454,848.614,005,271.91--
  股东权益合计377,942,708.02384,154,784.26460,474,422.37485,454,849.29
  负债和股东权益合计855,281,396.29832,103,850.86797,544,165.12757,188,466.89
公告日期2026-04-302026-04-302025-10-292025-08-28
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