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*ST金泰

(300225)

  

流通市值:25.18亿  总市值:25.20亿
流通股本:4.75亿   总股本:4.75亿

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60,161,489.4556,762,611.87173,219,205.03174,064,855.46
  结算备付金00-0
  拆出资金00-0
  交易性金融资产8,167,914.9120,373,494.911,667,914.911,667,914.91
  衍生金融资产00-0
  应收票据及应收账款457,417,126.21435,268,637.17412,662,099.65422,078,811.06
  其中:应收票据159,809,516.61128,068,309.87125,306,603.43127,154,090.76
        应收账款297,607,609.6307,200,327.3287,355,496.22294,924,720.3
  应收款项融资36,396,265.7330,339,952.2843,470,711.7535,796,257.9
  预付款项37,231,463.1433,817,830.3133,959,986.4127,314,331.69
  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99,835,038.88147,875,180.415,768,884.8325,157,319.62
  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96,584,631.891,658,590.55100,526,060.6785,425,888.56
  合同资产00-0
  一年内到期的非流动资产00-0
  其他流动资产3,276,799.373,688,988.73,177,385.553,036,202.5
  流动资产合计799,070,729.49819,785,286.19784,452,248.8774,541,581.7
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329,658,725.48329,447,328.64328,621,436329,350,626.71
  其他权益工具投资3,331,861.913,331,861.913,331,861.913,331,861.91
  其他非流动金融资产1,546,880.971,546,880.971,546,880.971,940,063.83
  投资性房地产6,028,406.46,057,877.176,087,347.946,116,818.71
  固定资产178,523,805.43183,620,975.45188,971,161.5194,392,876.43
  在建工程23,076,209.6422,190,078.919,501,118.2917,786,536.1
  生产性生物资产00-0
  油气资产00-0
  使用权资产4,789,518.996,424,432.448,059,345.899,694,259.34
  无形资产24,835,511.5825,171,254.625,557,866.4925,944,478.38
  开发支出00-0
  商誉00-0
  长期待摊费用412,669.49629,326.52928,520.331,227,714.14
  递延所得税资产51,876,103.5852,713,290.8351,932,891.7351,878,292.78
  其他非流动资产2,662,780.01806,180.011,305,396.81912,610.01
  非流动资产合计626,742,473.48631,939,487.44635,843,827.86642,576,138.34
  资产总计1,425,813,202.971,451,724,773.631,420,296,076.661,417,117,720.04
流动负债:
  短期借款116,708,851.48128,471,043.92154,043,422.03150,854,674.39
  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198,863,431.84257,852,007.86231,896,093.09224,985,383.51
  其中:应付票据89,500,000135,343,613.51100,669,781.8690,717,560.75
        应付账款109,363,431.84122,508,394.35131,226,311.23134,267,822.76
  预收款项142,472.16214,986.96142,290.83220,425.81
  合同负债32,197,589.8515,206,685.696,141,898.822,690,353.15
  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6,820,413.395,043,849.253,231,614.2411,075,820.71
  应交税费5,380,233.096,694,533.787,145,666.069,304,382.95
  其他应付款合计39,666,991.0840,427,570.2740,138,297.0642,257,515.89
  其中:应付利息74,565.3412,800.9618,096.9923,367.61
        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16,840,215.8917,784,530.3318,372,659.5419,291,314.46
  其他流动负债119,965,204.9587,069,659.7564,717,315.0463,218,356.89
  流动负债合计536,585,403.73558,764,867.81525,829,256.71523,898,227.76
非流动负债:
  长期借款00-0
  应付债券00-0
  优先股00-0
  永续债00-0
  租赁负债2,448,080.682,883,559.033,996,112.274,188,017.95
  长期应付款11,357,651.3814,917,625.0817,873,806.7221,346,354.27
  长期应付职工薪酬00-0
  预计负债4,347,588.162,573,107.672,573,107.672,573,107.67
  递延收益441,663.75480,075518,486.25556,897.5
  递延所得税负债00-0
  其他非流动负债00-0
  非流动负债合计18,594,983.9720,854,366.7824,961,512.9128,664,377.39
  负债合计555,180,387.7579,619,234.59550,790,769.62552,562,605.15
所有者权益(或股东权益):
  实收资本(或股本)475,429,590475,429,590475,429,590475,429,590
  其他权益工具00-0
  优先股00-0
  永续债00-0
  资本公积62,914,460.4862,914,460.4862,914,460.4862,914,460.48
  减:库存股00-0
  其他综合收益-4,128,762.47-4,205,053.99-3,974,418.96-3,974,418.96
  专项储备00-0
  盈余公积97,409,777.0197,409,777.0197,409,777.0197,409,777.01
  一般风险准备00-0
  未分配利润231,562,636.07232,176,699.39229,101,284.37223,468,193.77
  归属于母公司股东权益合计863,187,701.09863,725,472.89860,880,692.9855,247,602.3
  少数股东权益7,445,114.188,380,066.158,624,614.149,307,512.59
  股东权益合计870,632,815.27872,105,539.04869,505,307.04864,555,114.89
  负债和股东权益合计1,425,813,202.971,451,724,773.631,420,296,076.661,417,117,720.04
公告日期2025-10-302025-08-282025-07-022025-07-02
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