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ST天瑞

(300165)

  

流通市值:15.31亿  总市值:18.04亿
流通股本:4.21亿   总股本:4.96亿

资产负债表

报告期2025-03-312024-12-312024-09-302024-06-30
公司类型通用通用通用通用
流动资产:
货币资金72,088,647.2286,028,678.56116,070,501.8181,860,046.1
结算备付金00-0
拆出资金00-0
衍生金融资产00-0
应收票据及应收账款487,053,751.8527,684,190.8454,421,790.83457,982,817.39
其中:应收票据22,713,944.3515,786,791.4521,221,916.7431,588,572.4
应收账款464,339,807.45511,897,399.35433,199,874.09426,394,244.99
应收款项融资5,955,045.085,528,564.041,362,559.195,911,922.76
预付款项36,029,774.8729,719,981.7470,078,094.1650,135,487.25
应收保费00-0
应收分保账款00-0
应收分保合同准备金00-0
其他应收款合计14,456,529.7612,739,703.5313,275,108.7312,601,678.07
其中:应收利息00-0
应收股利00-0
买入返售金融资产00-0
存货363,483,524.89355,551,963.16431,313,992.76476,075,097.69
合同资产2,037,919,527.12,003,038,223.022,072,207,034.452,038,963,323.47
一年内到期的非流动资产00-0
其他流动资产4,525,028.464,862,316.6212,350,474.94,821,076.27
流动资产平衡项目0000
流动资产合计3,021,511,829.183,025,153,621.473,171,079,556.823,228,351,449
非流动资产:
发放委托贷款及垫款00-0
债权投资00-0
其他债权投资00-0
长期应收款00-0
长期股权投资81,377,192.8980,608,617.7480,413,016.0579,927,602.31
其他权益工具投资44,460,00044,460,00056,600,00056,600,000
其他非流动金融资产1,500,0001,500,0002,400,0002,400,000
投资性房地产19,508,884.4119,852,593.620,196,302.7920,540,011.98
固定资产124,251,325.35143,034,114.33137,813,707.43141,504,321.57
在建工程00398,230.0931,500
生产性生物资产00-0
油气资产00-0
使用权资产3,186,384.973,754,610.326,720,655.979,813,647.89
无形资产35,167,893.3737,522,690.8437,192,595.4238,028,218.79
开发支出2,461,708.362,370,00011,226,569.1111,024,223.05
商誉41,801,734.2241,801,734.2275,410,015.1675,410,015.16
长期待摊费用6,315,812.186,560,080.876,663,818.687,785,024.63
递延所得税资产00-0
其他非流动资产19,489,488.8319,844,764.1721,837,313.1422,643,196.48
非流动资产平衡项目0000
非流动资产合计379,520,424.58401,309,206.09456,872,223.84465,707,761.86
资产平衡项目0000
资产总计3,401,032,253.763,426,462,827.563,627,951,780.663,694,059,210.86
流动负债:
短期借款125,805,808.88151,820,602.76190,944,401.45265,553,684.62
向中央银行借款00-0
吸收存款及同业存放00-0
拆入资金00-0
交易性金融负债00-0
衍生金融负债00-0
应付票据及应付账款395,907,172.4403,597,971.7426,552,035.5422,030,742.1
其中:应付票据00-0
应付账款395,907,172.4403,597,971.7426,552,035.5422,030,742.1
预收款项3,279,9682,368,150633,442.581,284,724.76
合同负债100,071,112.6789,531,526.76126,365,118.11136,005,366.2
卖出回购金融资产款00-0
应付手续费及佣金00-0
应付职工薪酬33,812,934.735,365,747.1118,970,470.0620,222,066.37
应交税费178,991,767.22184,969,312.34184,083,390.87171,360,018.04
其他应付款合计24,931,751.2418,181,142.8619,091,487.8823,606,598.69
其中:应付利息00-0
应付股利00-0
应付分保账款00-0
保险合同准备金00-0
代理买卖证券款00-0
代理承销证券款00-0
一年内到期的非流动负债54,283,657.3655,560,739.9645,585,226.2447,846,694.62
其他流动负债31,488,746.5633,270,869.7521,726,378.6520,627,877.8
流动负债平衡项目0000
流动负债合计948,572,919.03974,666,063.241,033,951,951.341,108,537,773.2
非流动负债:
长期借款1,102,097,890.131,103,217,319.831,138,776,732.551,139,340,219.8
应付债券00-0
优先股00-0
永续债00-0
租赁负债1,705,398.691,766,905.144,176,192.465,586,280.91
长期应付款00-0
长期应付职工薪酬00-0
预计负债12,281,242.1112,469,660.8611,664,487.9911,036,778.93
递延收益9,226,5009,226,5009,226,5008,776,618
递延所得税负债00-0
其他非流动负债00-0
非流动负债其他项目-0--
非流动负债平衡项目0000
非流动负债合计1,125,311,030.931,126,680,385.831,163,843,9131,164,739,897.64
负债平衡项目0000
负债合计2,073,883,949.962,101,346,449.072,197,795,864.342,273,277,670.84
所有者权益(或股东权益):
实收资本(或股本)495,511,725495,511,725495,511,725495,511,725
其他权益工具00-0
优先股00-0
永续债00-0
资本公积787,639,752.32787,639,752.32787,639,752.32787,639,752.32
减:库存股00-0
其他综合收益-52,690,000-52,690,000-40,550,000-40,550,000
专项储备11,465,767.3510,983,571.6810,670,585.0610,253,231.77
盈余公积95,771,817.1595,771,817.1591,011,405.2491,011,405.24
一般风险准备00-0
未分配利润-57,185,198.72-60,348,416.8534,889,550.4826,841,641.31
归属于母公司股东权益平衡项目0000
归属于母公司股东权益合计1,280,513,863.11,276,868,449.31,379,173,018.11,370,707,755.64
少数股东权益46,634,440.748,247,929.1950,982,898.2250,073,784.38
股东权益平衡项目0000
股东权益合计1,327,148,303.81,325,116,378.491,430,155,916.321,420,781,540.02
负债和股东权益合计3,401,032,253.763,426,462,827.563,627,951,780.663,694,059,210.86
公告日期2025-04-282025-04-282024-10-282024-08-27
审计意见(境内)标准无保留意见
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