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*ST声迅

(003004)

  

流通市值:14.78亿  总市值:17.61亿
流通股本:6873.34万   总股本:8186.18万

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176,270,531.11148,211,602.84181,137,419.21265,714,034.97
  交易性金融资产-029,753,598.025,323,736.91
  应收票据及应收账款329,080,307.03345,502,185.85335,565,057.15356,394,870.99
  其中:应收票据2,385,912.488,987,273.2222,657,229.156,644,334.19
        应收账款326,694,394.55336,514,912.63312,907,828349,750,536.8
  应收款项融资-0100,00014,200
  预付款项14,731,199.39,264,930.134,552,189.922,420,994.33
  其他应收款合计14,355,105.7916,467,112.298,413,496.286,497,584.29
  存货112,692,885.12108,649,995.2259,137,210.0948,610,893.43
  合同资产25,516,518.1725,329,037.1330,449,949.1725,155,296.16
  其他流动资产24,204,456.8822,459,664.118,341,654.5323,010,910.76
  流动资产合计696,851,003.4675,884,527.56667,450,574.37733,142,521.84
非流动资产:
  长期应收款1,521,902.291,527,763.271,469,757.881,409,244.97
  长期股权投资30,822,329.5830,218,349.2823,543,302.8123,879,138.95
  固定资产229,359,876.19231,720,960.3231,445,993.08233,697,565.78
  在建工程122,305,737.01119,282,312.05114,362,393.8100,742,319.05
  使用权资产1,730,738.332,101,610.84-0
  无形资产111,046,694.92112,575,419.9283,969,107.5284,405,012.98
  商誉48,608,698.6448,608,698.641,437,178.591,437,178.59
  长期待摊费用1,506,418.751,734,546.03123,761.64134,075.13
  递延所得税资产19,057,092.919,060,696.1918,008,410.4918,008,410.49
  其他非流动资产5,000,0005,000,0001,551,509.685,000,000
  非流动资产合计570,959,488.61571,830,356.52475,911,415.49468,712,945.94
  资产总计1,267,810,492.011,247,714,884.081,143,361,989.861,201,855,467.78
流动负债:
  短期借款122,612,083.42106,683,699.926,822,866.531,822,866.5
  应付票据及应付账款112,256,040.12130,097,427.68143,213,984.65164,259,225.02
  其中:应付票据7,077,3118,604,2157,553,137.112,834,011.5
        应付账款105,178,729.12121,493,212.68135,660,847.55151,425,213.52
  合同负债44,878,946.5435,732,701.5214,159,608.994,009,669.74
  应付职工薪酬14,995,609.520,799,797.856,462,985.898,459,651.07
  应交税费1,204,797.29352,906.984,054,950.9210,363,401.08
  其他应付款合计26,184,728.7349,329,227.762,445,428.681,756,301.18
  其中:应付利息2,570,737.21,559,248.28907,715.79-
  其他流动负债---13,465,309.59
  流动负债合计322,132,205.6342,995,761.69197,159,825.63234,136,424.18
非流动负债:
  应付债券249,708,336.36244,977,971.92240,294,934.74235,659,516.07
  租赁负债2,067,359.252,477,762.66--
  长期应付款2,304,577.942,870,824.35--
  递延收益173,333.37346,666.7513,333.36113,333.36
  递延所得税负债4,361,292.474,472,961.856,186.856,186.85
  非流动负债合计258,614,899.39255,146,187.48240,814,454.95235,779,036.28
  负债合计580,747,104.99598,141,949.17437,974,280.58469,915,460.46
所有者权益(或股东权益):
  实收资本(或股本)81,861,82081,861,61381,859,16281,854,452
  其他权益工具74,175,066.5974,176,659.6774,195,511.0874,231,727.03
  资本公积358,979,690.34358,974,046.64358,907,220.83358,778,803.05
  减:库存股25,032,993.525,032,993.525,032,993.512,598,760.5
  盈余公积40,920,00040,920,00040,920,00040,920,000
  未分配利润185,609,113.42179,165,044.06175,322,572.6189,404,292.71
  归属于母公司股东权益合计716,512,696.85710,064,369.87706,171,473.01732,590,514.29
  少数股东权益-29,449,309.83-60,491,434.96-783,763.73-650,506.97
  股东权益合计687,063,387.02649,572,934.91705,387,709.28731,940,007.32
  负债和股东权益合计1,267,810,492.011,247,714,884.081,143,361,989.861,201,855,467.78
公告日期2025-10-312025-08-302025-04-302025-04-30
审计意见(境内)标准无保留意见
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