当前位置:首页 - 行情中心 - 舒泰神(300204) - 财务分析 - 资产负债表

舒泰神

(300204)

  

流通市值:144.81亿  总市值:152.51亿
流通股本:4.54亿   总股本:4.78亿

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157,998,891.79173,165,696.6689,436,475.0853,911,180.04
  应收票据及应收账款45,672,245.3838,718,980.9245,965,56239,073,477.28
  其中:应收票据11,867,620.65255,6419,524,782.89145,237.49
        应收账款33,804,624.7338,463,339.9236,440,779.1138,928,239.79
  预付款项24,004,919.2719,584,461.6117,782,543.1516,678,065.27
  其他应收款合计939,313.42906,236.39701,191.17643,298.97
  存货30,096,329.8520,928,963.8826,512,524.1122,181,013.09
  其他流动资产46,699,210.8646,354,336.3345,312,898.6545,136,909.67
  流动资产合计305,410,910.57299,658,675.79225,711,194.16177,623,944.32
非流动资产:
  长期股权投资743,393.62683,226.35644,017.03692,107.03
  其他权益工具投资476,387,256.02476,387,623.98480,548,595.49513,373,822.96
  固定资产216,596,784.5222,763,040.65228,731,228.81234,867,116.95
  使用权资产88,137.09102,826.6117,516.11132,205.62
  无形资产36,611,240.7936,839,242.3934,481,451.0234,671,308.84
  开发支出142,169,948.65133,663,866.58121,211,584.09117,673,170.95
  商誉19,752,602.9119,752,602.9119,752,602.9119,752,602.91
  长期待摊费用1,730,602.57420,794.57141,651.44165,558.31
  递延所得税资产50,078,887.5950,078,887.5950,078,887.5950,078,887.59
  其他非流动资产14,355,438.042,626,445.9836,798.41577,031.69
  非流动资产合计958,514,291.78943,318,557.52936,544,332.9971,983,812.85
  资产总计1,263,925,202.351,242,977,233.311,162,255,527.061,149,607,757.17
流动负债:
  短期借款41,674,418.9220,014,444.4420,005,777.7830,025,000
  应付票据及应付账款14,964,455.8420,647,229.8236,118,956.0233,493,048.83
        应付账款14,964,455.8420,647,229.8236,118,956.0233,493,048.83
  合同负债3,302,949.083,902,609.125,559,480.73,889,705.57
  应付职工薪酬8,951,764.29,117,909.1719,951,730.7120,116,026.52
  应交税费2,427,251.11,480,539.032,176,215.121,650,742.23
  其他应付款合计18,355,459.5318,418,654.5218,394,940.1318,644,165.93
  一年内到期的非流动负债59,748.6959,242.158,735.5158,245.84
  其他流动负债34,246,159.6342,435,737.2839,688,914.3946,571,198.47
  流动负债合计123,982,206.99116,076,365.48141,954,750.36154,448,133.39
非流动负债:
  租赁负债---60,255.28
  递延收益27,491,81028,225,380.829,178,350.9929,911,921.79
  递延所得税负债48,506,004.3948,504,061.8148,426,104.8648,426,104.86
  其他非流动负债204,244,383.56---
  非流动负债合计280,242,197.9576,729,442.6177,604,455.8578,398,281.93
  负债合计404,224,404.94192,805,808.09219,559,206.21232,846,415.32
所有者权益(或股东权益):
  实收资本(或股本)477,772,555477,772,555477,772,555477,772,555
  资本公积558,602,584.21747,413,787.01617,149,183.94570,950,397.47
  其他综合收益114,284,039.9896,115,958.82100,219,712.1129,880,309.97
  盈余公积169,406,419.71169,406,419.71169,406,419.71169,406,419.71
  未分配利润-449,457,225.39-443,408,621.55-411,117,990.66-418,775,750.32
  归属于母公司股东权益合计870,608,373.511,047,300,098.99953,429,880.09929,233,931.83
  少数股东权益-10,907,576.12,871,326.23-10,733,559.24-12,472,589.98
  股东权益合计859,700,797.411,050,171,425.22942,696,320.85916,761,341.85
  负债和股东权益合计1,263,925,202.351,242,977,233.311,162,255,527.061,149,607,757.17
公告日期2025-10-292025-08-262025-04-252025-03-25
审计意见(境内)标准无保留意见
TOP↑