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开尔新材

(300234)

  

流通市值:18.78亿  总市值:27.47亿
流通股本:3.44亿   总股本:5.03亿

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92,296,002.93102,560,506.65170,473,675.56176,106,786.75
  交易性金融资产185,449,223.2122,112,848.3495,366,535.0861,165,370.68
  应收票据及应收账款214,246,736.63232,280,824.26227,904,298.69267,094,130.84
  其中:应收票据5,360,328.944,010,0008,027,632.8510,933,658.08
        应收账款208,886,407.69228,270,824.26219,876,665.84256,160,472.76
  应收款项融资3,180,953.599,361,042.3912,114,639.558,798,931.58
  预付款项15,766,710.5410,369,186.3913,969,513.127,151,100.76
  其他应收款合计6,735,959.2511,571,183.2110,926,127.228,992,563.69
  存货144,487,208.6148,127,524.4129,325,933.99127,372,437.62
  合同资产48,540,165.9951,617,880.1964,871,408.1392,613,109.92
  一年内到期的非流动资产95,415,976.0341,879,126.71--
  其他流动资产5,410,481.326,364,813.554,303,952.415,747,182.59
  流动资产合计811,529,418.08736,244,936.09729,256,083.75755,041,614.43
非流动资产:
  长期股权投资--1,352,979.851,363,863.7
  其他非流动金融资产90,574,421.8290,574,421.8290,574,421.8285,574,421.82
  投资性房地产--1,737,764.881,749,728.94
  固定资产223,961,244.21230,325,271.95235,902,218.38243,213,999.44
  在建工程4,946,725.674,254.48--
  使用权资产1,290,346.551,511,897.131,612,777.691,839,297.46
  无形资产42,693,989.2643,046,089.5743,398,189.8843,750,290.19
  长期待摊费用18,681.0629,889.9941,098.7252,307.37
  递延所得税资产17,313,511.9317,726,051.315,666,297.8418,223,711.86
  其他非流动资产172,986,285.59217,445,190.61239,937,268.37196,525,248.99
  非流动资产合计553,785,206.09600,663,066.85630,223,017.43592,292,869.77
  资产总计1,365,314,624.171,336,908,002.941,359,479,101.181,347,334,484.2
流动负债:
  短期借款43,023,333.3443,023,333.3440,525,666.681,940,000
  应付票据及应付账款68,909,188.6767,119,050.9575,301,703.51100,804,347.88
  其中:应付票据2,191,947.122,572,788.175,064,788.172,492,000
        应付账款66,717,241.5564,546,262.7870,236,915.3498,312,347.88
  预收款项3,044,703.161,673,707.433,631,733.722,787,671.81
  合同负债51,864,862.3535,656,063.2142,212,396.2336,602,870.96
  应付职工薪酬7,954,565.377,517,931.337,443,913.9717,612,007.42
  应交税费9,252,505.236,675,453.184,823,089.412,159,028.92
  其他应付款合计12,687,868.2113,505,446.1813,382,945.0516,815,859
  一年内到期的非流动负债851,681.45844,661.02849,753.47721,578.82
  其他流动负债149,280.1792,991.432,009,462.331,203,636.21
  流动负债合计197,737,987.88176,808,638.07190,180,664.36190,647,001.02
非流动负债:
  租赁负债118,677.35370,566.81459,519.35829,244.49
  递延收益13,908,551.7814,794,855.5615,648,131.8516,746,699.99
  递延所得税负债--677.43,895.61
  非流动负债合计14,027,229.1315,165,422.3716,108,328.617,579,840.09
  负债合计211,765,217.01191,974,060.44206,288,992.96208,226,841.11
所有者权益(或股东权益):
  实收资本(或股本)503,171,090503,171,090503,171,090503,171,090
  资本公积103,474,021.34103,474,021.34103,474,021.34103,474,021.34
  其他综合收益-1,008,016.43-982,664.86-1,250,456.3-1,329,464.63
  盈余公积68,883,296.1668,883,296.1668,883,296.1668,883,296.16
  未分配利润479,614,004.62470,633,990.03479,088,142.79466,062,969.77
  归属于母公司股东权益合计1,154,134,395.691,145,179,732.671,153,366,093.991,140,261,912.64
  少数股东权益-584,988.53-245,790.17-175,985.77-1,154,269.55
  股东权益合计1,153,549,407.161,144,933,942.51,153,190,108.221,139,107,643.09
  负债和股东权益合计1,365,314,624.171,336,908,002.941,359,479,101.181,347,334,484.2
公告日期2025-10-252025-08-232025-04-262025-04-12
审计意见(境内)标准无保留意见
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