当前位置:首页 - 行情中心 - 金明精机(300281) - 财务分析 - 资产负债表

金明精机

(300281)

  

流通市值:30.40亿  总市值:32.05亿
流通股本:3.97亿   总股本:4.19亿

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82,835,521.6571,623,077.56117,976,619.6239,614,825.62
  交易性金融资产382,027,056.33378,278,340.46323,604,041.59347,786,882.44
  应收票据及应收账款42,291,494.0257,017,098.252,692,661.2358,555,341.81
  其中:应收票据9,459,726.6715,299,358.4818,245,950.3321,075,166.62
        应收账款32,831,767.3541,717,739.7234,446,710.937,480,175.19
  应收款项融资32,920,359.0430,345,544.9245,741,150.5232,235,136.98
  预付款项9,060,001.385,259,939.245,616,355.533,041,393.27
  其他应收款合计1,288,562.48967,908.01865,872.34602,261.38
  存货271,434,391.79273,375,226.69288,783,389.01280,213,819.82
  一年内到期的非流动资产54,478,958.7654,099,588.9853,761,857.3688,311,619.56
  其他流动资产37,241,081.4338,486,929.4439,334,791.1837,956,384.41
  流动资产合计913,577,426.88909,453,653.5928,376,738.38888,317,665.29
非流动资产:
  债权投资---53,006,794.53
  其他债权投资---53,006,794.53
  长期应收款750,846.5822,990.81,002,558.151,240,479.9
  长期股权投资13,168,368.6613,168,368.6614,351,677.3914,351,677.39
  其他权益工具投资682,962.5682,962.5682,962.5682,962.5
  投资性房地产1,197,233.751,239,5031,281,772.251,324,041.5
  固定资产447,291,092.23454,652,096.26462,406,814.68470,020,047.86
  在建工程22,430,627.6725,017,733.7823,626,635.823,624,655.6
  无形资产44,586,741.4745,281,600.5644,968,231.4545,666,665.63
  长期待摊费用1,091,676.641,157,382.811,261,355.581,298,840.89
  递延所得税资产13,344,607.912,589,388.513,852,219.5213,679,234.95
  其他非流动资产26,388,962.325,263,017.2526,463,017.2511,440,537.73
  非流动资产合计570,933,119.62579,875,044.12589,897,244.57636,335,938.48
  资产总计1,484,510,546.51,489,328,697.621,518,273,982.951,524,653,603.77
流动负债:
  应付票据及应付账款104,767,346.31116,020,837132,250,911.06134,820,220.83
  其中:应付票据56,339,370.1364,352,059.6680,956,662.9581,103,335.91
        应付账款48,427,976.1851,668,777.3451,294,248.1153,716,884.92
  合同负债74,218,978.5771,130,412.6675,572,653.3471,544,783.74
  应付职工薪酬41,950.641,157.441,248.27,773,125.17
  应交税费3,975,154.641,913,273.91,870,850.37250,101.6
  其他应付款合计256,881.58268,836.6285,167.75497,231.95
  其他流动负债8,721,985.399,696,381.3613,911,927.5318,111,729.64
  流动负债合计191,982,297.09199,070,898.94223,732,758.25232,997,192.93
非流动负债:
  递延收益29,076,978.4328,705,791.1429,861,275.7629,540,035.85
  非流动负债合计29,076,978.4328,705,791.1429,861,275.7629,540,035.85
  负债合计221,059,275.52227,776,690.08253,594,034.01262,537,228.78
所有者权益(或股东权益):
  实收资本(或股本)418,923,580418,923,580418,923,580418,923,580
  资本公积501,752,799.58501,752,799.58501,752,799.58501,752,799.58
  其他综合收益-3,175,012.5-3,175,012.5-3,175,012.5-3,175,012.5
  专项储备1,156,696.78952,733.8687,533.83393,499.42
  盈余公积46,567,56846,567,56846,567,56846,567,568
  未分配利润298,225,639.12296,530,338.66299,923,480.03297,653,940.49
  归属于母公司股东权益合计1,263,451,270.981,261,552,007.541,264,679,948.941,262,116,374.99
  股东权益合计1,263,451,270.981,261,552,007.541,264,679,948.941,262,116,374.99
  负债和股东权益合计1,484,510,546.51,489,328,697.621,518,273,982.951,524,653,603.77
公告日期2025-10-292025-08-152025-04-252025-03-28
审计意见(境内)标准无保留意见
TOP↑