当前位置:首页 - 行情中心 - 鼎捷数智(300378) - 财务分析 - 资产负债表

鼎捷数智

(300378)

  

流通市值:116.08亿  总市值:116.96亿
流通股本:2.70亿   总股本:2.72亿

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1,161,840,026.31,625,174,284.55711,783,580.39755,066,326.85
  交易性金融资产276,428,334.1877,928,334.1845,000,00045,000,000
  应收票据及应收账款892,169,020.33912,158,263.76752,714,006791,693,659.05
  其中:应收票据173,143,289.04236,392,690.44160,245,373.01167,110,074.24
        应收账款719,025,731.29675,765,573.32592,468,632.99624,583,584.81
  预付款项22,389,275.4521,971,266.7140,628,265.4345,868,529.76
  其他应收款合计21,387,743.2924,495,119.1121,208,206.721,614,282.74
  存货102,122,287.23115,312,510.06111,183,345.38111,694,880.58
  一年内到期的非流动资产54,310,028.465,478,535.9663,940,924.8563,940,924.85
  其他流动资产74,867,618.2662,940,010.425,016,711.4624,622,090.01
  流动资产合计2,605,514,333.442,905,458,324.731,771,475,040.211,859,500,693.84
非流动资产:
  长期股权投资132,121,240.89133,173,881.5696,192,440.9496,465,145.04
  其他非流动金融资产4,686,452.074,686,452.075,000,0005,000,000
  固定资产799,659,282.07666,129,749.63644,604,819.6667,948,513.36
  在建工程84,215,784.54182,977,077.72188,241,563.09154,599,265.48
  使用权资产37,582,955.1842,410,655.2346,458,664.0252,459,259.75
  无形资产245,409,777.48250,960,338.5220,840,435.81227,692,880.56
  开发支出494,034,203.3462,381,672.38407,201,536.74374,262,843.39
  商誉39,940,118.5939,940,118.5939,940,118.5939,940,118.59
  长期待摊费用6,171,323.736,609,862.4510,174,824.3311,519,781.68
  递延所得税资产60,554,082.5756,798,254.6171,301,674.1973,475,926.72
  其他非流动资产37,051,873.2441,916,259.0354,956,720.1155,713,425.29
  非流动资产合计1,941,427,093.661,887,984,321.771,784,912,797.421,759,077,159.86
  资产总计4,546,941,427.14,793,442,646.53,556,387,837.633,618,577,853.7
流动负债:
  短期借款227,845,156.58209,652,022.31150,103,666.71223,249,111.13
  应付票据及应付账款300,146,351.22331,524,871.92272,784,514.22266,347,158.35
  其中:应付票据4,540,152.467,447,536.434,502,377.364,218,837.81
        应付账款295,606,198.76324,077,335.49268,282,136.86262,128,320.54
  合同负债403,449,054.52388,381,085.11298,988,258.94296,701,560.76
  应付职工薪酬142,046,308.82315,403,172.43190,896,448.02169,922,528.06
  应交税费62,587,548.6797,971,393.0562,816,759.5187,613,793.97
  其他应付款合计20,956,378.0725,556,792.1242,892,908.3514,312,704.94
  一年内到期的非流动负债38,041,365.2623,903,516.0124,826,653.4224,740,682.06
  其他流动负债8,721,533.148,518,395.2111,868,746.0811,547,377.74
  流动负债合计1,203,793,696.281,400,911,248.161,055,177,955.251,094,434,917.01
非流动负债:
  长期借款29,148,243.3443,757,023.3443,719,774.2243,603,434.22
  应付债券784,051,387.21777,955,466.27--
  租赁负债18,358,354.0623,770,668.6826,671,604.9433,640,820.2
  递延收益7,306,739.137,320,0008,020,0008,020,000
  递延所得税负债3,778,264.053,865,701.33,975,0004,376,806.89
  非流动负债合计842,642,987.79856,668,859.5982,386,379.1689,641,061.31
  负债合计2,046,436,684.072,257,580,107.751,137,564,334.411,184,075,978.32
所有者权益(或股东权益):
  实收资本(或股本)271,551,830271,551,830271,392,830271,392,830
  其他权益工具31,802,552.0831,802,552.08--
  资本公积898,324,071.43896,653,888.34904,951,360.48944,143,557.71
  减:库存股52,985,121.8552,985,121.8552,985,121.8594,950,494.65
  其他综合收益-11,042,828.7515,147,706.2340,533,623.0768,566,565.65
  盈余公积109,242,803.95109,242,803.9592,187,052.5392,187,052.53
  未分配利润1,106,676,470.461,114,711,566.621,019,370,556.411,013,308,446.7
  归属于母公司股东权益合计2,353,569,777.322,386,125,225.372,275,450,300.642,294,647,957.94
  少数股东权益146,934,965.71149,737,313.38143,373,202.58139,853,917.44
  股东权益合计2,500,504,743.032,535,862,538.752,418,823,503.222,434,501,875.38
  负债和股东权益合计4,546,941,427.14,793,442,646.53,556,387,837.633,618,577,853.7
公告日期2026-04-292026-04-022025-10-302025-08-30
审计意见(境内)标准无保留意见
TOP↑