当前位置:首页 - 行情中心 - 博亚精工(300971) - 财务分析 - 资产负债表

博亚精工

(300971)

  

流通市值:22.09亿  总市值:28.17亿
流通股本:9225.28万   总股本:1.18亿

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441,546,265.53414,161,245.3394,144,567.81347,410,630.71
  交易性金融资产-47,559.94--
  应收票据及应收账款340,006,329.99348,551,588.96393,053,744.62357,127,070.58
  其中:应收票据81,546,612.71111,378,993.4478,475,526.7551,626,148.04
        应收账款258,459,717.28237,172,595.52314,578,217.87305,500,922.54
  应收款项融资39,935,124.3343,076,945.744,708,428.2412,241,424.88
  预付款项21,997,294.2510,123,782.1816,586,49310,357,545.32
  其他应收款合计7,644,165.699,825,347.626,932,321.45,657,663.71
  存货163,661,594.22150,564,507.98133,898,797.58118,723,472.43
  其他流动资产48,762,998.8337,105,431.1513,411,768.1812,116,193.64
  流动资产合计1,063,553,772.841,013,456,408.87962,736,120.83863,634,001.27
非流动资产:
  长期股权投资23,942,799.124,205,308.317,925,388.6113,836,664.69
  其他非流动金融资产32,440,024.2834,115,516.9132,969,908.1831,955,149.83
  固定资产378,519,299.87365,325,480.33342,883,732.5348,555,384.71
  在建工程4,668,396.8120,706,233.6141,599,584.7927,045,418.05
  使用权资产1,764,042.731,960,125.682,155,542.852,234,080.88
  无形资产42,527,125.1745,331,667.5943,830,173.0744,887,726.13
  长期待摊费用9,161,902.139,261,323.421,352,225.761,229,919.34
  递延所得税资产25,080,000.2428,973,581.0231,095,626.0327,099,095.87
  其他非流动资产2,184,628.112,513,008.62,095,894.5616,222,575.77
  非流动资产合计520,288,218.44532,392,245.46515,908,076.35513,066,015.27
  资产总计1,583,841,991.281,545,848,654.331,478,644,197.181,376,700,016.54
流动负债:
  短期借款30,000,000136,641.4130,000,00030,621,751.54
  应付票据及应付账款112,399,038.19116,089,836.48114,143,235.9105,853,109.49
        应付账款112,399,038.19116,089,836.48114,143,235.9105,853,109.49
  合同负债155,841,379.51137,881,589.2596,500,124.2958,714,886.78
  应付职工薪酬17,134,905.3823,909,144.5119,455,002.2915,892,908.76
  应交税费14,001,082.6715,974,018.1819,693,099.616,207,398.23
  其他应付款合计967,425.99916,093.761,883,481.343,080,179.33
  一年内到期的非流动负债-817,286.19-897,526.35
  其他流动负债98,128,018.25106,909,358.2876,161,037.5954,370,799.7
  流动负债合计428,471,849.99402,633,968.06357,835,981.01285,638,560.18
非流动负债:
  租赁负债1,437,524.91747,852.51,703,427.541,001,490.99
  预计负债--5,285,981.775,761,151.97
  递延收益29,514,540.3630,093,810.924,484,067.6824,899,028.11
  递延所得税负债8,668,757.399,305,098.197,343,800.177,965,425.3
  非流动负债合计39,620,822.6640,146,761.5938,817,277.1639,627,096.37
  负债合计468,092,672.65442,780,729.65396,653,258.17325,265,656.55
所有者权益(或股东权益):
  实收资本(或股本)117,600,000117,600,000117,600,000117,600,000
  资本公积432,392,573.43432,292,573.43432,392,573.43432,292,573.43
  专项储备37,938,357.7836,420,338.5835,715,068.0934,407,867.79
  盈余公积67,514,639.6367,514,639.6359,057,928.3959,057,928.39
  未分配利润427,490,302.24416,128,128.33408,788,917.96385,492,715.36
  归属于母公司股东权益合计1,082,935,873.081,069,955,679.971,053,554,487.871,028,851,084.97
  少数股东权益32,813,445.5533,112,244.7128,436,451.1422,583,275.02
  股东权益合计1,115,749,318.631,103,067,924.681,081,990,939.011,051,434,359.99
  负债和股东权益合计1,583,841,991.281,545,848,654.331,478,644,197.181,376,700,016.54
公告日期2026-04-232026-04-232025-10-232025-08-26
审计意见(境内)标准无保留意见
TOP↑