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景嘉微

(300474)

  

流通市值:308.60亿  总市值:396.77亿
流通股本:4.06亿   总股本:5.23亿

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3,963,580,854.553,841,326,292.533,911,372,765.154,267,658,397.68
  交易性金融资产32,588,973.2532,274,678.1182,052,822.71-
  应收票据及应收账款841,739,941.56598,445,764.78741,577,681.79718,336,296.3
  其中:应收票据71,848,680.1652,936,085.55146,900,545.14181,062,946.13
        应收账款769,891,261.4545,509,679.23594,677,136.65537,273,350.17
  预付款项20,234,289.9220,108,948.4729,836,031.9818,280,288.44
  其他应收款合计22,180,882.9821,000,784.8221,351,555.1920,227,756.49
  存货613,747,170.93701,997,042.51617,828,113.34647,194,273.44
  其他流动资产651,365,630.59665,824,112.25642,234,801.87430,528,550.42
  流动资产合计6,145,437,743.785,880,977,623.476,046,253,772.036,102,225,562.77
非流动资产:
  长期股权投资314,850,599.06311,742,105.76310,525,945.31299,902,093.74
  其他权益工具投资61,679,591.0661,679,591.0661,679,591.0661,679,591.06
  固定资产507,127,917.89514,784,785.08505,154,092.65515,056,892.35
  在建工程--10,389,150.8310,389,150.83
  使用权资产33,337,335.6131,671,745.7532,776,074.133,880,402.45
  无形资产219,690,293.21226,256,091.56232,691,640.44186,063,142.64
  开发支出3,000,0003,000,000-23,556,758.04
  长期待摊费用14,660,031.2615,651,317.314,066,541.2814,899,338.47
  递延所得税资产252,562,140.87242,815,380.88218,189,120.8205,167,243.17
  其他非流动资产222,529,926.19139,778,656.2666,521,046.66111,994,080.2
  非流动资产合计1,629,437,835.151,547,379,673.651,451,993,203.131,462,588,692.95
  资产总计7,774,875,578.937,428,357,297.127,498,246,975.167,564,814,255.72
流动负债:
  应付票据及应付账款326,059,472.71298,219,138.41219,230,846.3261,529,589.59
  其中:应付票据80,080,832.1266,266,862.2164,120,990.9391,600,089.12
        应付账款245,978,640.59231,952,276.2155,109,855.37169,929,500.47
  合同负债20,043,002.119,199,158.2231,430,949.4623,234,881.6
  应付职工薪酬21,502,268.7719,949,616.2752,020,329.254,406,521.31
  应交税费20,285,719.49,732,560.996,284,891.7212,377,379.97
  其他应付款合计6,649,060.286,749,647.777,086,116.265,969,618.42
  一年内到期的非流动负债4,048,927.284,123,088.8949,117,705.7550,038,703.88
  其他流动负债2,605,590.2711,113,755.554,086,023.432,666,440.72
  流动负债合计401,194,040.81369,086,966.1369,256,862.12410,223,135.49
非流动负债:
  长期借款300,000,000---
  租赁负债35,390,086.0632,302,949.8435,681,933.3734,383,601.49
  预计负债8,272,724.66,901,303.916,003,654.046,933,311.24
  递延收益57,641,500.6563,480,213.3666,295,713.0642,954,351.02
  非流动负债合计401,304,311.31102,684,467.11107,981,300.4784,271,263.75
  负债合计802,498,352.12471,771,433.21477,238,162.59494,494,399.24
所有者权益(或股东权益):
  实收资本(或股本)522,619,223522,619,223522,619,223522,619,223
  资本公积5,376,168,255.235,375,453,564.35,374,739,472.295,369,200,281.76
  其他综合收益21,827,652.421,827,652.422,847,652.422,847,652.4
  盈余公积165,674,697.23165,674,697.23165,674,697.23165,674,697.23
  未分配利润886,087,398.95871,010,726.98935,127,767.65989,978,002.09
  归属于母公司股东权益合计6,972,377,226.816,956,585,863.917,021,008,812.577,070,319,856.48
  股东权益合计6,972,377,226.816,956,585,863.917,021,008,812.577,070,319,856.48
  负债和股东权益合计7,774,875,578.937,428,357,297.127,498,246,975.167,564,814,255.72
公告日期2025-10-292025-08-192025-04-242025-04-24
审计意见(境内)标准无保留意见
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