当前位置:首页 - 行情中心 - 润都股份(002923) - 财务分析 - 资产负债表

润都股份

(002923)

  

流通市值:32.36亿  总市值:42.00亿
流通股本:2.58亿   总股本:3.35亿

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245,846,077.16256,170,897.2211,461,856.41201,881,382.74
  交易性金融资产49,703.3753,634.7156,724.6253,074.09
  应收票据及应收账款171,598,465.52167,812,163.99193,106,375.95171,818,158.87
  其中:应收票据15,141,171.8130,729,521.531,011,478.5118,837,985.25
        应收账款156,457,293.71137,082,642.49162,094,897.44152,980,173.62
  应收款项融资44,055,062.2830,163,803.5737,564,376.0628,995,450.84
  预付款项6,821,349.484,631,809.348,338,202.3811,477,803.56
  其他应收款合计4,529,370.342,614,944.245,722,821.345,008,272.03
  存货374,185,299.66394,611,702.49406,861,015.8430,248,636.99
  其他流动资产129,295.16200,849.16,470,778.069,942,254.6
  流动资产合计847,214,622.97856,259,804.64869,582,150.62859,425,033.72
非流动资产:
  固定资产1,025,988,197.141,060,267,398.451,073,542,466.331,115,033,614.08
  在建工程17,915,155.0919,089,117.1537,469,860.1239,960,213.88
  使用权资产2,551,748.712,872,451.114,226,346.487,051,405.3
  无形资产62,604,690.362,995,427.5563,248,415.3763,639,159.52
  长期待摊费用8,549,919.59,775,257.149,781,203.4812,693,073.01
  递延所得税资产13,478,680.1413,901,513.359,722,470.2815,195,597.02
  其他非流动资产3,043,726.443,424,576.255,897,603.917,122,799.8
  非流动资产合计1,134,132,117.321,172,325,7411,203,888,365.971,260,695,862.61
  资产总计1,981,346,740.292,028,585,545.642,073,470,516.592,120,120,896.33
流动负债:
  短期借款93,309,806.94132,862,350133,361,505.2172,717,155.06
  应付票据及应付账款132,285,476.41143,532,156.48150,304,625.54150,559,758.22
  其中:应付票据29,724,62738,055,686.2346,772,113.4924,818,695.29
        应付账款102,560,849.41105,476,470.25103,532,512.05125,741,062.93
  合同负债10,045,218.7317,917,794.7911,035,643.658,908,829.17
  应付职工薪酬21,293,776.9830,992,863.9235,109,903.5434,628,518.06
  应交税费8,558,660.73,811,416.6413,303,135.486,221,171.55
  其他应付款合计132,115,174.3106,097,770.23103,782,269.5288,196,306.23
  一年内到期的非流动负债91,962,564.9587,794,627.3482,265,219.778,874,318.86
  其他流动负债8,651,980.8212,458,414.5314,635,953.538,392,480.18
  流动负债合计498,222,659.83535,467,393.93543,798,256.16548,498,537.33
非流动负债:
  长期借款288,670,633.2309,894,956.8334,624,280.4355,848,604
  租赁负债1,486,864.851,770,679.92,735,612.945,335,463.48
  预计负债5,869,463.355,577,178.373,586,022.13936,848.21
  递延收益132,455,169.96136,766,976.21140,574,020.56142,108,707.78
  递延所得税负债640,070.11708,800.19967,713.011,713,574.44
  非流动负债合计429,122,201.47454,718,591.47482,487,649.04505,943,197.91
  负债合计927,344,861.3990,185,985.41,026,285,905.21,054,441,735.24
所有者权益(或股东权益):
  实收资本(或股本)334,893,286334,893,286334,893,286334,893,286
  资本公积183,181,780.57183,181,780.57183,181,780.57183,181,780.57
  其他综合收益-2,258.51-756.27-8.65-106.37
  盈余公积145,565,972.17145,565,972.17140,902,409.76140,902,409.76
  未分配利润390,363,098.76374,759,277.77388,207,143.71406,701,791.13
  归属于母公司股东权益合计1,054,001,878.991,038,399,560.241,047,184,611.391,065,679,161.09
  股东权益合计1,054,001,878.991,038,399,560.241,047,184,611.391,065,679,161.09
  负债和股东权益合计1,981,346,740.292,028,585,545.642,073,470,516.592,120,120,896.33
公告日期2026-04-282026-04-282025-10-312025-08-30
审计意见(境内)标准无保留意见
TOP↑