当前位置:首页 - 行情中心 - 精锻科技(300258) - 财务分析 - 资产负债表

精锻科技

(300258)

  

流通市值:75.11亿  总市值:77.11亿
流通股本:5.70亿   总股本:5.85亿

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1,057,511,555.371,284,292,432.31,560,189,742.971,580,490,212.86
  交易性金融资产722,579,502.31416,361,826.5188,002,289.54152,060,950.1
  应收票据及应收账款458,438,162.17458,342,678.92545,745,548.3542,777,287.1
  其中:应收票据45,568,970.1463,850,351.88109,520,413.1497,100,780.33
        应收账款412,869,192.03394,492,327.04436,225,135.16445,676,506.77
  应收款项融资---0
  预付款项40,842,724.6433,126,014.0533,942,129.126,155,337.3
  其他应收款合计4,017,281.8212,900,866.424,362,645.282,349,400.38
  存货633,781,502.74618,769,466.64590,435,592.54573,112,843.54
  合同资产35,681,511.5319,745,567.1311,507,548.172,214,569.54
  其他流动资产54,880,270.545,465,418.4336,339,668.0920,332,358.16
  流动资产合计3,007,732,511.082,889,004,270.392,970,525,163.992,899,492,958.98
非流动资产:
  长期股权投资50,000,00050,000,000--
  其他权益工具投资19,743,077.2619,743,077.2619,743,077.2613,743,077.26
  固定资产3,159,423,324.993,170,155,623.043,023,462,880.822,908,094,253.21
  在建工程573,448,948.75603,405,327.55668,633,205.89734,300,352.25
  使用权资产36,355,771.5639,570,744.142,581,539.1643,689,883.59
  无形资产268,684,610.39269,073,688.95269,005,795.62270,840,332.54
  长期待摊费用18,791,893.8819,786,658.8120,604,812.9220,098,100.1
  递延所得税资产35,374,042.7436,179,617.8137,732,151.2839,598,569.89
  其他非流动资产244,284,138.01176,017,037.66163,296,017.5162,202,326.61
  非流动资产合计4,406,105,807.584,383,931,775.184,245,059,480.454,192,566,895.45
  资产总计7,413,838,318.667,272,936,045.577,215,584,644.447,092,059,854.43
流动负债:
  短期借款1,354,902,039.821,340,098,738.841,187,377,991.091,105,678,379.85
  应付票据及应付账款599,993,099.91563,387,136.34596,547,229.69550,355,748
  其中:应付票据134,854,286.82121,519,221.18172,635,603.42164,799,889.77
        应付账款465,138,813.09441,867,915.16423,911,626.27385,555,858.23
  合同负债1,325,109.09505,502.1871,798.85720,621.77
  应付职工薪酬66,812,474.753,802,454.0243,476,717.0975,352,814.02
  应交税费18,749,948.812,441,443.8619,460,111.6426,376,912.02
  其他应付款合计8,305,296.564,989,125.957,244,337.746,731,202.21
  一年内到期的非流动负债79,884,739.459,297,430.62279,668,122.97280,773,898.19
  其他流动负债23,462,853.110,427,483.8219,181,647.4330,620,025.33
  流动负债合计2,153,435,561.382,044,949,315.552,153,827,956.52,076,609,601.39
非流动负债:
  长期借款349,038,033.5347,053,571143,188,364.33125,929,213.03
  应付债券-475,588,726.31635,952,521.13908,457,461.23
  租赁负债45,769,103.9245,450,102.7734,448,804.1440,924,177.19
  递延收益112,479,820.89112,668,051.29114,346,281.64116,024,512.15
  递延所得税负债11,014,698.2514,924,861.0118,905,406.6822,308,790.23
  非流动负债合计518,301,656.56995,685,312.38946,841,377.921,213,644,153.83
  负债合计2,671,737,217.943,040,634,627.933,100,669,334.423,290,253,755.22
所有者权益(或股东权益):
  实收资本(或股本)585,047,243532,407,671513,518,560481,777,232
  其他权益工具-58,978,866.689,053,591.84139,590,937.32
  资本公积2,238,862,411.651,738,516,863.181,556,247,996.791,254,135,055.66
  减:库存股100,570,320.6982,867,475.8520,228,167.697,585,006.45
  其他综合收益21,432,250.4619,999,968.0510,316,413.949,136,147.2
  专项储备18,001,062.4117,506,092.517,640,442.9316,660,389.09
  盈余公积245,896,447.12245,896,447.12245,896,447.12245,896,447.12
  未分配利润1,727,844,780.571,696,561,857.111,697,125,346.111,656,939,941.93
  归属于母公司股东权益合计4,736,513,874.524,227,000,289.714,109,570,631.043,796,551,143.87
  少数股东权益5,587,226.25,301,127.935,344,678.985,254,955.34
  股东权益合计4,742,101,100.724,232,301,417.644,114,915,310.023,801,806,099.21
  负债和股东权益合计7,413,838,318.667,272,936,045.577,215,584,644.447,092,059,854.43
公告日期2025-10-232025-08-262025-04-192025-04-19
审计意见(境内)标准无保留意见
TOP↑