当前位置:首页 - 行情中心 - 金通灵(300091) - 财务分析 - 资产负债表

金通灵

(300091)

  

流通市值:44.28亿  总市值:44.67亿
流通股本:14.76亿   总股本:14.89亿

资产负债表

报告期2025-06-302025-03-312024-12-312024-09-30
公司类型通用通用通用通用
流动资产:
  货币资金106,136,074.8786,773,874.58113,935,083.93127,557,884.52
  应收票据及应收账款864,602,175.691,075,722,517.631,067,177,718.56961,522,738.2
  其中:应收票据131,906,706.53314,540,407.87279,628,715.82113,152,770.71
        应收账款732,695,469.16761,182,109.76787,549,002.74848,369,967.49
  应收款项融资9,413,155.7114,180,552.157,613,605.5311,469,396.82
  预付款项83,255,876.376,931,686.4374,297,620.82117,597,221.05
  其他应收款合计29,399,343.1926,462,895.530,220,131.9838,812,705.29
  存货314,990,586344,571,830.45308,065,997.65510,555,594.57
  合同资产831,486,737.17714,911,617.94770,537,889.1952,217,493.92
  其他流动资产88,980,879.8391,423,606.2791,906,007.1143,227,385.3
  流动资产合计2,328,264,828.762,430,978,580.952,463,754,054.672,862,960,419.67
非流动资产:
  长期股权投资19,653,500.819,101,758.4919,101,758.4918,687,366.14
  其他非流动金融资产18,310,319.0518,310,319.0518,310,319.0518,582,400
  固定资产848,355,111.61870,262,534.48892,754,951.98926,917,427.28
  在建工程437,570,027.74433,738,780.81429,691,563.21498,654,482.88
  使用权资产14,617,973.8415,369,676.3316,080,844.3326,752,784.37
  无形资产201,235,222.96204,032,488.62208,626,741.92241,884,066.5
  商誉159,876,157.31159,876,157.31159,876,157.31420,487,257.31
  长期待摊费用277,327.79311,935.61348,748.731,034,705.69
  递延所得税资产61,431,857.6182,345,258.0282,594,854.55174,775,770.29
  其他非流动资产27,848,545.7930,589,923.9647,393,345.0414,421,315.83
  非流动资产合计1,789,176,044.51,833,938,832.681,874,779,284.612,342,197,576.29
  资产总计4,117,440,873.264,264,917,413.634,338,533,339.285,205,157,995.96
流动负债:
  短期借款544,149,313.2632,712,605.09566,201,697.69556,421,081.58
  应付票据及应付账款1,040,954,730.281,065,666,159.971,115,028,676.571,203,536,117.94
  其中:应付票据221,259,310235,679,310191,105,535.59305,043,495.58
        应付账款819,695,420.28829,986,849.97923,923,140.98898,492,622.36
  预收款项--0-
  合同负债215,276,386.84130,799,857.38105,402,832.21232,506,977.42
  应付职工薪酬26,954,913.0422,091,547.0231,288,175.9412,494,516.34
  应交税费9,058,712.579,092,065.846,358,683.0516,400,896.34
  其他应付款合计434,967,692.14325,389,266.18317,457,632.77316,976,789.92
  一年内到期的非流动负债566,397,033.56459,408,262.55474,193,077.53451,268,435.06
  其他流动负债141,884,833.63251,455,654.59219,744,221.34138,907,870.43
  流动负债合计2,979,643,615.262,896,615,418.622,835,674,997.12,928,512,685.03
非流动负债:
  长期借款249,492,016.67363,225,350.01380,635,350.01305,957,293.94
  租赁负债8,054,314.469,309,927.569,667,793.059,223,904.7
  长期应付款73,238,875.9692,742,894.19131,188,497.57131,132,437.97
  预计负债441,039,888.22399,378,762.41399,378,784.836,650,041.64
  递延收益27,897,024.1228,471,467.2629,045,910.429,774,401.67
  递延所得税负债10,395,295.8711,045,861.6911,292,553.8716,524,708.34
  非流动负债合计810,117,415.3904,174,263.12961,208,889.73499,262,788.26
  负债合计3,789,761,030.563,800,789,681.743,796,883,886.833,427,775,473.29
所有者权益(或股东权益):
  实收资本(或股本)1,489,164,2141,489,164,2141,489,164,2141,489,164,214
  资本公积1,349,546,619.081,349,546,619.081,349,546,619.081,349,546,619.08
  专项储备6,093,469.874,944,309.434,870,852.325,172,287.58
  盈余公积44,048,643.0944,048,643.0944,048,643.0944,048,643.09
  未分配利润-2,408,423,548.11-2,278,902,744.38-2,206,025,332.54-1,031,921,379.44
  归属于母公司股东权益合计480,429,397.93608,801,041.22681,604,995.951,856,010,384.31
  少数股东权益-152,749,555.23-144,673,309.33-139,955,543.5-78,627,861.64
  股东权益合计327,679,842.7464,127,731.89541,649,452.451,777,382,522.67
  负债和股东权益合计4,117,440,873.264,264,917,413.634,338,533,339.285,205,157,995.96
公告日期2025-08-272025-04-232025-04-232024-10-25
审计意见(境内)带强调事项段的无保留意见
TOP↑