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德恩精工

(300780)

  

流通市值:18.75亿  总市值:25.58亿
流通股本:1.08亿   总股本:1.47亿

资产负债表

报告期2025-06-302025-03-312024-12-312024-09-30
公司类型通用通用通用通用
流动资产:
  货币资金87,757,870.2397,058,593.61151,268,249.97111,671,194.96
  应收票据及应收账款139,494,391108,382,896.22111,086,051.91116,280,232.02
  其中:应收票据1,605,001.28921,192.871,521,079.56-
        应收账款137,889,389.72107,461,703.35109,564,972.35116,280,232.02
  应收款项融资20,983,268.918,345,255.1717,121,540.4215,264,833.52
  预付款项9,801,413.2210,432,046.846,258,327.6913,928,383.51
  其他应收款合计146,691,405.74145,108,344.12142,570,075.96147,985,539.4
  存货287,018,889.46312,369,181.46320,651,037.44325,363,773.34
  其他流动资产13,871,556.5515,707,794.4216,157,581.3614,685,441.77
  流动资产合计705,618,795.1707,404,111.84765,112,864.75745,179,398.52
非流动资产:
  长期股权投资141,222,449.32148,058,191.64145,643,013.92149,783,848.97
  投资性房地产34,212,872.0633,983,304.7611,896,441.910,132,576.75
  固定资产834,110,605.61829,989,911.92876,351,940.5884,356,717.45
  在建工程38,825,279.9447,517,922.2321,335,562.6678,177,502.16
  使用权资产6,239,775.7714,941,383.0215,225,495.6717,620,526.72
  无形资产110,234,599.21112,192,476.62114,534,511.37117,066,620.41
  长期待摊费用6,761,904.516,045,137.056,090,258.453,554,492.42
  递延所得税资产19,356,836.8419,202,056.1319,123,518.9934,479,348.45
  其他非流动资产4,670,911.464,516,580.9913,853,996.9913,971,642.33
  非流动资产合计1,195,635,234.721,216,446,964.361,224,054,740.451,309,143,275.66
  资产总计1,901,254,029.821,923,851,076.21,989,167,605.22,054,322,674.18
流动负债:
  短期借款214,540,510.59215,736,263.77264,887,945.42258,938,590.23
  应付票据及应付账款70,649,773.275,026,455.3277,439,095.1273,307,072.69
  其中:应付票据12,432,036.6412,065,961.6411,433,164.3810,487,379.38
        应付账款58,217,736.5662,960,493.6866,005,930.7462,819,693.31
  合同负债8,300,115.259,812,127.717,690,381.029,984,632.05
  应付职工薪酬23,065,178.3123,365,075.0126,731,015.2422,496,507.51
  应交税费6,233,774.216,144,757.368,216,646.8711,142,494.34
  其他应付款合计2,090,942.193,331,215.953,678,014.362,520,761.56
  一年内到期的非流动负债153,123,960.4297,882,557.26104,128,444.22148,654,594.35
  其他流动负债-957,865.32,155,171.24-
  流动负债合计478,004,254.17432,256,317.68494,926,713.49527,044,652.73
非流动负债:
  长期借款257,692,000316,209,844.72305,725,000240,033,256.95
  租赁负债4,895,3334,863,283.884,869,852.199,536,033.07
  长期应付款-5,159,322.586,099,060.1215,026,316.02
  递延收益103,699,492.28103,619,425.61102,340,144.698,253,079.43
  递延所得税负债5,421,669.615,421,669.615,421,669.615,159,226.01
  非流动负债合计371,708,494.89435,273,546.4424,455,726.52368,007,911.48
  负债合计849,712,749.06867,529,864.08919,382,440.01895,052,564.21
所有者权益(或股东权益):
  实收资本(或股本)146,670,000146,670,000146,670,000146,670,000
  资本公积575,041,970.24575,041,970.24575,041,970.24575,041,970.24
  其他综合收益-670,966.9-718,936.46-717,607.23-359,602.23
  专项储备1,408,808.71,158,794.28991,041.37-
  盈余公积76,589,913.276,589,913.276,589,913.277,609,433.2
  未分配利润235,268,914.43242,940,860.19256,963,182.31349,583,656.36
  归属于母公司股东权益合计1,034,308,639.671,041,682,601.451,055,538,499.891,148,545,457.57
  少数股东权益17,232,641.0914,638,610.6714,246,665.310,724,652.4
  股东权益合计1,051,541,280.761,056,321,212.121,069,785,165.191,159,270,109.97
  负债和股东权益合计1,901,254,029.821,923,851,076.21,989,167,605.22,054,322,674.18
公告日期2025-08-282025-04-282025-04-222024-10-24
审计意见(境内)标准无保留意见
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