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泰福泵业

(300992)

  

流通市值:23.71亿  总市值:29.17亿
流通股本:7750.40万   总股本:9534.85万

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270,946,969.23285,882,172.89260,724,961.4244,133,470.83
  交易性金融资产261,074,944.05192,501,944.05194,141,173.84193,596,342.64
  应收票据及应收账款281,283,987.34309,260,150.3266,478,768.23263,196,417.49
  其中:应收票据6,853,773.7411,358,352.855,209,646.51,997,734.97
        应收账款274,430,213.6297,901,797.45261,269,121.73261,198,682.52
  应收款项融资1,977,713.184,931,070.37445,142.15328,969
  预付款项17,277,115.277,096,821.139,887,976.3210,397,688.91
  其他应收款合计9,192,039.135,533,018.729,401,727.278,073,888.7
  存货365,895,081.99313,727,804.48350,695,597.14333,167,221.9
  其他流动资产8,315,837.986,990,888.967,242,882.6712,881,511.37
  流动资产合计1,215,963,688.171,125,923,870.91,099,018,229.021,065,775,510.84
非流动资产:
  债权投资--10,339,534.25-
  其他权益工具投资250,000250,000250,000250,000
  投资性房地产1,872,695.611,942,795.112,012,894.612,082,994.11
  固定资产552,196,981.53562,177,544.96567,595,472.49574,870,694.07
  在建工程877,007.21877,007.21931,672.18476,106.2
  使用权资产5,774,010.576,223,012.196,661,244.165,765,707.74
  无形资产62,665,486.4763,239,492.4663,324,497.6563,815,460.54
  长期待摊费用8,407,437.57,449,819.4310,067,947.618,324,883.73
  递延所得税资产15,917,358.8915,392,846.968,137,298.538,276,715.2
  其他非流动资产19,145,562.3320,018,648.1112,370,313.359,102,845.06
  非流动资产合计667,106,540.11677,571,166.43681,690,874.83672,965,406.65
  资产总计1,883,070,228.281,803,495,037.331,780,709,103.851,738,740,917.49
流动负债:
  短期借款212,113,815.4140,395,670.69168,509,928.7182,924,198.71
  交易性金融负债22,020.27-29,657.0929,657.09
  应付票据及应付账款438,994,072.32414,007,703.64392,926,284.89333,115,948.58
  其中:应付票据312,929,261.9261,821,206.52248,717,311.72206,733,671.88
        应付账款126,064,810.42152,186,497.12144,208,973.17126,382,276.7
  预收款项107,621.6469,857113,680.3291,648.31
  合同负债16,247,753.9719,162,586.7212,546,893.6115,501,657.47
  应付职工薪酬14,917,474.7219,752,368.4411,677,019.7612,799,519.04
  应交税费3,110,505.918,381,240.247,120,404.385,475,586.37
  其他应付款合计18,215,000.5417,325,951.0116,816,227.2815,481,115.45
  一年内到期的非流动负债1,614,526.381,466,748.18903,102.051,229,830.08
  其他流动负债942,887.27268,827.82419,888.951,879,897.72
  流动负债合计706,285,678.42620,830,953.74611,063,087.03568,529,058.82
非流动负债:
  应付债券235,127,961.79231,379,749.87227,496,251.49229,062,956.46
  租赁负债4,198,107.074,715,858.115,626,380.344,609,601.71
  递延收益20,369,171.8220,950,595.5621,682,526.6621,479,543.73
  递延所得税负债14,822,653.0714,822,653.0712,288,473.0412,191,748.36
  非流动负债合计274,517,893.75271,868,856.61267,093,631.53267,343,850.26
  负债合计980,803,572.17892,699,810.35878,156,718.56835,872,909.08
所有者权益(或股东权益):
  实收资本(或股本)95,346,95195,337,70295,337,60295,177,803
  其他权益工具38,189,512.0338,219,702.7538,220,032.7138,741,375.3
  资本公积387,180,443.72385,774,268.59378,167,963.79372,524,931.65
  减:库存股39,082,419.8439,082,419.8439,082,419.8439,082,419.84
  其他综合收益620,341.341,389,561.072,940,708.142,266,121.91
  专项储备--136,269.22-
  盈余公积46,385,280.6746,385,280.6746,385,280.6746,385,280.67
  未分配利润373,557,238.35382,610,843.43380,875,820.91387,368,196.42
  归属于母公司股东权益合计902,197,347.27910,634,938.67902,981,257.6903,381,289.11
  少数股东权益69,308.84160,288.31-428,872.31-513,280.7
  股东权益合计902,266,656.11910,795,226.98902,552,385.29902,868,008.41
  负债和股东权益合计1,883,070,228.281,803,495,037.331,780,709,103.851,738,740,917.49
公告日期2026-04-292026-04-272025-10-282025-08-29
审计意见(境内)标准无保留意见
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