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*ST赛隆

(002898)

  

流通市值:13.59亿  总市值:23.62亿
流通股本:1.01亿   总股本:1.76亿

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27,830,758.516,877,461.732,973,514.8548,843,383.16
  应收票据及应收账款72,017,152.4697,446,293.4392,200,725.8879,614,458.92
  其中:应收票据9,573,182.396,041,369.497,799,404.2212,567,483.89
        应收账款62,443,970.0791,404,923.9484,401,321.6667,046,975.03
  应收款项融资4,260,622.646,535,180.4424,056,619.820,061,885.61
  预付款项38,526,698.83,721,347.585,425,298.383,024,135.4
  其他应收款合计3,597,021.333,589,714.133,451,666.832,999,053.77
  存货99,598,057.3988,477,559.7289,391,143.9694,077,645.27
  其他流动资产7,317,337.644,541,624.444,322,346.431,210,416.3
  流动资产合计253,147,648.77211,189,181.44251,821,316.13249,830,978.43
非流动资产:
  长期应收款--1,690,305.611,662,231.72
  其他非流动金融资产4,900,0004,900,0004,900,0004,900,000
  投资性房地产18,087,884.8418,189,244.5818,290,604.3218,391,964.06
  固定资产314,655,250.4321,394,012.31324,985,132.99332,175,631.3
  在建工程7,952,708.016,276,738.798,931,611.675,892,126.71
  使用权资产65,220,419.1563,099,722.2463,632,442.1164,165,161.98
  无形资产69,667,613.6669,387,247.167,813,551.6267,712,753.12
  开发支出55,203,845.1155,455,328.8656,237,644.0856,100,805.98
  长期待摊费用4,893,112.894,919,285.162,945,344.423,061,866.73
  递延所得税资产2,341,558.121,636,001.643,677,612.463,706,535.83
  其他非流动资产1,474,124.17741,704.771,143,286.05623,321.43
  非流动资产合计544,396,516.35545,999,285.45554,247,535.33558,392,398.86
  资产总计797,544,165.12757,188,466.89806,068,851.46808,223,377.29
流动负债:
  短期借款104,949,797.22123,269,822.78135,284,581.12128,134,459.63
  应付票据及应付账款39,760,339.2660,821,749.7264,486,892.0562,308,368.23
  其中:应付票据--2,190,0002,190,000
        应付账款39,760,339.2660,821,749.7262,296,892.0560,118,368.23
  预收款项--0-
  合同负债34,630,933.5712,497,388.714,558,900.5911,507,061.52
  应付职工薪酬5,125,695.655,066,151.494,661,088.716,121,809.76
  应交税费1,108,904.132,039,706.572,195,299.758,192,416.7
  其他应付款合计84,812,841.526,505,321.3311,464,000.179,197,717.45
  一年内到期的非流动负债27,945,640.3728,692,080.5220,729,912.6922,234,822.61
  其他流动负债9,992,432.564,510,731.935,014,446.387,322,998.12
  流动负债合计308,326,584.28243,402,953.04258,395,121.46255,019,654.02
非流动负债:
  长期借款8,000,0008,500,00029,100,00029,860,000
  租赁负债1,725,813.7175,481.23260,301.81327,580.56
  长期应付款6,336,819.57,448,149.477,592,777.5611,514,692.55
  递延收益2,897,462.372,742,075.512,655,529.832,599,394.16
  递延所得税负债9,783,062.99,464,958.359,544,866.339,624,774.31
  非流动负债合计28,743,158.4728,330,664.5649,153,475.5353,926,441.58
  负债合计337,069,742.75271,733,617.6307,548,596.99308,946,095.6
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
  资本公积288,469,403.58288,469,403.58288,469,403.58288,469,403.58
  专项储备1,656,463.351,070,930.51342,686.0661,208
  盈余公积18,009,717.2318,009,717.2318,009,717.2318,009,717.23
  未分配利润-23,661,161.791,904,797.9715,698,447.616,736,952.88
  归属于母公司股东权益合计460,474,422.37485,454,849.29498,520,254.47499,277,281.69
  股东权益合计460,474,422.37485,454,849.29498,520,254.47499,277,281.69
  负债和股东权益合计797,544,165.12757,188,466.89806,068,851.46808,223,377.29
公告日期2025-10-292025-08-282025-04-252025-04-25
审计意见(境内)标准无保留意见
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