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诚迈科技

(300598)

  

流通市值:102.86亿  总市值:102.89亿
流通股本:2.17亿   总股本:2.17亿

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586,802,796.12670,223,364.88639,661,468.74723,211,623.27
  交易性金融资产20,013,181.7---
  应收票据及应收账款794,378,894.34775,727,341.74734,580,119.09714,711,120.6
  其中:应收票据1,189,841.75173,660--
        应收账款793,189,052.59775,553,681.74734,580,119.09714,711,120.6
  应收款项融资36,670,438.2239,324,433.3329,951,913.9726,717,810.79
  预付款项42,359,034.5637,998,613.536,874,997.4114,388,858.71
  其他应收款合计26,800,391.8129,766,567.6526,390,080.5536,543,990.45
  存货339,650,653.95339,349,997.01302,782,024.94229,528,629.93
  合同资产608,786.64567,124.2626,520.44623,840.6
  其他流动资产43,562,503.342,566,201.1644,163,807.6839,098,592.43
  流动资产合计1,890,846,680.641,935,523,643.471,815,030,932.821,784,824,466.78
非流动资产:
  长期股权投资360,393,049.36346,868,953.06329,137,125.98338,091,039.24
  其他权益工具投资47,979,00038,500,00038,500,00038,500,000
  其他非流动金融资产23,032,903.424,390,980.4311,620,897.7214,707,755.67
  投资性房地产7,862,875.827,921,337.5110,558,179.5110,691,657.29
  固定资产121,556,355.43122,347,923.23110,035,824.22110,235,487.52
  在建工程33,194,165.5921,758,541.5516,004,315.0313,865,732.82
  使用权资产13,960,584.5314,528,566.2611,113,974.5412,661,033.42
  无形资产150,111,647.29153,971,172.184,916,071.9387,868,119.09
  开发支出--75,440,901.6272,986,112.48
  商誉338,488.68338,488.68338,488.68338,488.68
  长期待摊费用6,960,403.796,686,927.286,508,379.364,924,531.54
  递延所得税资产87,411,392.9782,644,001.2272,446,124.4564,734,663.07
  其他非流动资产27,920,144.6128,300,417.9838,630,589.213,108,227.58
  非流动资产合计880,721,011.47848,257,309.3805,250,872.25772,712,848.4
  资产总计2,771,567,692.112,783,780,952.772,620,281,805.072,557,537,315.18
流动负债:
  短期借款849,837,294.54855,688,821.68685,436,297.01588,520,977.48
  应付票据及应付账款127,920,013.72135,397,221.99161,814,517.01154,335,379.91
  其中:应付票据10,000,0006,275,00012,550,0008,960,000
        应付账款117,920,013.72129,122,221.99149,264,517.01145,375,379.91
  预收款项178,428.68-2,064.231,284.14
  合同负债69,221,921.7880,351,830.9873,461,901.5949,638,821.93
  应付职工薪酬133,628,734.27134,606,229.35126,632,807.22142,287,816.46
  应交税费25,489,507.1122,734,852.0520,213,439.6817,925,775.62
  其他应付款合计19,026,835.7920,255,760.8414,498,724.7117,994,635.67
  一年内到期的非流动负债6,839,163.467,019,625.856,019,239.025,996,120.37
  其他流动负债18,710,241.326,741,006.436,860,306.749,722,864.34
  流动负债合计1,250,852,140.671,262,795,349.171,094,939,297.18986,453,675.92
非流动负债:
  租赁负债7,187,762.37,789,196.345,173,093.265,973,072.7
  递延收益18,801,20011,641,20012,441,20011,241,200
  非流动负债合计25,988,962.319,430,396.3417,614,293.2617,214,272.7
  负债合计1,276,841,102.971,282,225,745.511,112,553,590.441,003,667,948.62
所有者权益(或股东权益):
  实收资本(或股本)216,981,741216,981,741216,981,741216,981,741
  资本公积997,978,285.061,005,330,635.091,000,076,825.61,000,076,825.6
  减:库存股15,050,083.2415,050,083.2415,050,083.2415,050,083.24
  其他综合收益26,045,884.6317,944,550.8517,032,986.7217,266,376.23
  盈余公积64,780,885.0964,780,885.0964,780,885.0964,780,885.09
  未分配利润192,509,550.97203,541,539.78217,920,042.25260,259,187.39
  归属于母公司股东权益合计1,483,246,263.511,493,529,268.571,501,742,397.421,544,314,932.07
  少数股东权益11,480,325.638,025,938.695,985,817.219,554,434.49
  股东权益合计1,494,726,589.141,501,555,207.261,507,728,214.631,553,869,366.56
  负债和股东权益合计2,771,567,692.112,783,780,952.772,620,281,805.072,557,537,315.18
公告日期2025-10-292025-08-262025-04-292025-04-29
审计意见(境内)标准无保留意见
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