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捷佳伟创

(300724)

  

流通市值:279.40亿  总市值:338.23亿
流通股本:2.88亿   总股本:3.48亿

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2,971,693,426.043,194,639,609.346,216,693,827.794,068,628,264.06
  交易性金融资产5,633,421,102.055,918,538,832.084,329,951,006.756,211,423,595.59
  应收票据及应收账款5,727,407,910.545,591,014,751.725,162,519,128.564,498,929,322.65
  其中:应收票据702,604,094.18930,984,938.39987,273,124.49918,328,892.19
        应收账款5,024,803,816.364,660,029,813.334,175,246,004.073,580,600,430.46
  应收款项融资72,645,834.45219,914,551.79291,929,402.18210,673,756.96
  预付款项68,610,482.3256,711,67470,217,771.9756,850,607.28
  其他应收款合计61,274,952.5735,685,492.5435,312,817.4928,825,397.94
  存货6,622,214,039.979,307,259,935.911,578,413,761.3714,006,876,358.84
  合同资产1,324,020,906.661,503,728,331.141,477,092,623.171,209,212,416.42
  一年内到期的非流动资产424,109,928.83618,629,268.78327,529,529.91439,127,370.81
  其他流动资产1,166,463,935.09292,302,072.57428,607,563.48150,341,297.18
  流动资产合计24,071,862,518.5226,738,424,519.8629,918,267,432.6730,880,888,387.73
非流动资产:
  债权投资387,783,139.67407,041,993.24691,689,549.9511,879,026.27
  长期股权投资82,274,680.8983,079,890.6584,035,457.8485,132,819.67
  其他非流动金融资产49,300,00149,300,00139,300,00139,300,001
  固定资产973,298,180.72992,895,445.7997,356,514.531,013,325,074.03
  在建工程307,745,701.53259,350,332.37226,404,972.67224,574,473.5
  使用权资产1,657,698.813,706,493.656,169,425.588,632,357.51
  无形资产210,162,769.02212,488,816.48214,927,623.53217,024,477.59
  长期待摊费用2,298,556.82,331,572.143,031,844.383,607,147.96
  递延所得税资产508,679,230.51490,129,845.63500,053,587.48485,059,980.06
  其他非流动资产191,188,054.57139,090,411.7918,396,595.75160,665,740.36
  非流动资产合计2,714,388,013.522,639,414,802.652,781,365,572.662,749,201,097.95
  资产总计26,786,250,532.0429,377,839,322.5132,699,633,005.3333,630,089,485.68
流动负债:
  短期借款1,100,000--19,977.78
  应付票据及应付账款5,492,569,453.156,135,616,619.187,453,007,5457,799,505,539.83
  其中:应付票据20,779,853.437,321,603.6324,897,323.5524,719,575.24
        应付账款5,471,789,599.756,098,295,015.557,428,110,221.457,774,785,964.59
  合同负债6,481,227,270.839,672,647,224.112,119,737,466.8613,106,772,305.71
  应付职工薪酬289,271,544.58266,043,729.26260,208,253.48268,273,074.56
  应交税费258,507,620.31190,483,580.94321,664,807.02444,785,850.73
  其他应付款合计95,939,620.0175,596,819.9957,827,978.7470,167,298.94
  一年内到期的非流动负债81,857,896.8183,793,192.7515,724,773.43193,726,433.52
  其他流动负债346,869,831.7377,289,602.04528,527,846.51523,650,182.05
  流动负债合计13,047,343,237.3916,801,470,768.2620,756,698,671.0422,406,900,663.12
非流动负债:
  长期借款313,500,102.2-75,000,00075,000,000
  预计负债-7,529,9988,500,000-
  递延收益59,622,508.3359,773,053.8559,444,244.6759,395,017.29
  非流动负债合计373,122,610.5367,303,051.85142,944,244.67134,395,017.29
  负债合计13,420,465,847.9216,868,773,820.1120,899,642,915.7122,541,295,680.41
所有者权益(或股东权益):
  实收资本(或股本)347,713,586347,713,586347,715,136347,715,136
  资本公积3,707,301,411.493,708,465,446.943,706,087,166.953,703,607,732.2
  减:库存股65,979,209.6465,979,209.6465,979,209.6465,979,209.64
  其他综合收益-511,315.23-214,443.95-616,724.52-832,063.46
  盈余公积174,116,773174,116,773174,116,773174,116,773
  未分配利润9,200,116,922.188,341,975,173.277,636,168,129.26,928,124,498.51
  归属于母公司股东权益合计13,362,758,167.812,506,077,325.6211,797,491,270.9911,086,752,866.61
  少数股东权益3,026,516.322,988,176.782,498,818.632,040,938.66
  股东权益合计13,365,784,684.1212,509,065,502.411,799,990,089.6211,088,793,805.27
  负债和股东权益合计26,786,250,532.0429,377,839,322.5132,699,633,005.3333,630,089,485.68
公告日期2025-10-282025-08-282025-04-242025-04-24
审计意见(境内)标准无保留意见
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