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飞力达

(300240)

  

流通市值:23.94亿  总市值:24.49亿
流通股本:3.63亿   总股本:3.72亿

资产负债表

报告期2026-03-312025-12-312025-09-302025-06-30
公司类型通用通用通用通用
流动资产:
  货币资金808,447,889.73755,614,506.45766,656,995.64751,005,882.17
  交易性金融资产700,000700,000766,578.55700,000
  应收票据及应收账款1,222,343,872.321,386,151,640.711,319,127,290.411,265,244,028.7
  其中:应收票据32,930,470.0243,632,663.3744,415,765.3445,088,305.98
        应收账款1,189,413,402.31,342,518,977.341,274,711,525.071,220,155,722.72
  应收款项融资6,971,229.97,119,141.346,208,500.435,178,030.05
  预付款项89,037,299.04111,695,571.59131,784,045.25118,131,629.14
  其他应收款合计108,031,424.8110,897,110.24122,049,999.21136,851,144.77
  存货96,142,896.85102,825,636.81130,189,093.62105,700,413.68
  合同资产1,559,555.141,454,850.22357,381.34229,296.82
  一年内到期的非流动资产802,881.97951,326.47428,084.65518,326.45
  其他流动资产61,510,872.8551,247,074.6551,146,034.0247,803,278.73
  流动资产合计2,395,547,922.62,528,656,858.482,528,714,003.122,431,362,030.51
非流动资产:
  长期股权投资3,499,775.413,487,778.373,597,629.73,656,442.24
  其他权益工具投资199,733,665.22186,631,439.59216,121,120.42158,342,306.91
  投资性房地产119,171,552.87120,709,768.44122,280,535.42123,851,302.43
  固定资产435,126,246.44446,490,847.32453,750,818.64463,125,313.36
  在建工程307,597,542.84269,651,783.14246,031,484.89212,134,883.18
  使用权资产250,648,222.16246,705,649.31216,420,190.41221,489,115.01
  无形资产250,545,991.6254,040,073.19256,232,053.81259,728,179
  商誉19,833,463.0319,833,463.0322,416,913.2722,416,913.27
  长期待摊费用47,149,679.133,874,945.8930,645,985.3133,699,145.09
  递延所得税资产98,241,217.4894,445,383.779,341,717.9187,569,919.81
  其他非流动资产2,830,538.435,915,970.312,349,909.662,418,790.51
  非流动资产合计1,734,377,894.581,681,787,102.291,649,188,359.441,588,432,310.81
  资产总计4,129,925,817.184,210,443,960.774,177,902,362.564,019,794,341.32
流动负债:
  短期借款872,000,000766,944,555.49856,454,158891,795,156.42
  应付票据及应付账款761,982,697.26922,991,532.43816,246,730.36722,649,109.95
  其中:应付票据4,743,369.51,450,000--
        应付账款757,239,327.76921,541,532.43816,246,730.36722,649,109.95
  合同负债37,426,494.2346,654,165.3646,554,377.3937,417,479.66
  应付职工薪酬32,848,680.5671,607,125.6434,400,931.8934,805,589.5
  应交税费20,103,822.3516,856,677.6522,935,257.827,587,178.77
  其他应付款合计70,325,047.296,708,360.03102,679,599.9287,533,355.48
        应付股利1,151,3205,338,22024,300529,366
  一年内到期的非流动负债142,029,171.2995,336,034.5792,569,192.5291,156,268.07
  其他流动负债21,824,641.0412,471,443.1818,295,007.7518,595,857.53
  流动负债合计1,958,540,553.932,029,569,894.351,990,135,255.631,911,539,995.38
非流动负债:
  长期借款305,599,424.47281,805,275.18282,382,919.05252,876,445.46
  租赁负债149,879,114.4180,781,834.07130,681,708.72132,551,929.68
  长期应付款5,190,208.474,590,008.574,720,095.424,911,054.31
  预计负债774,754.21,261,760.512,524,172.313,560,787.31
  递延收益7,618,211.27,901,374.58,184,537.87,455,049.42
  递延所得税负债253,483.49261,042.82474,409.58498,930.81
  其他非流动负债12,708,492.2513,456,050.6414,203,609.0314,951,167.42
  非流动负债合计482,023,688.48490,057,346.29443,171,451.91416,805,364.41
  负债合计2,440,564,242.412,519,627,240.642,433,306,707.542,328,345,359.79
所有者权益(或股东权益):
  实收资本(或股本)371,562,950371,562,950371,562,950371,562,950
  资本公积236,702,234.96236,435,527.52236,435,527.52238,875,443.72
  其他综合收益42,151,794.3935,696,968.1158,960,717.2213,756,100.13
  专项储备34,337.299,363.3561,002.2630,180.94
  盈余公积46,506,855.7846,506,855.7846,506,855.7846,506,855.78
  未分配利润732,457,547.76739,406,178.7762,870,880.29759,545,440.74
  归属于母公司股东权益合计1,429,415,720.181,429,617,843.461,476,397,933.071,430,276,971.31
  少数股东权益259,945,854.59261,198,876.67268,197,721.95261,172,010.22
  股东权益合计1,689,361,574.771,690,816,720.131,744,595,655.021,691,448,981.53
  负债和股东权益合计4,129,925,817.184,210,443,960.774,177,902,362.564,019,794,341.32
公告日期2026-04-232026-04-212025-10-212025-08-19
审计意见(境内)标准无保留意见
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