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德迈仕

(301007)

  

流通市值:73.77亿  总市值:73.94亿
流通股本:1.53亿   总股本:1.53亿

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159,892,429.37180,194,732.11174,919,866.87118,257,731.37
  应收票据及应收账款176,571,903.19174,691,950.58187,537,891.05212,171,677.87
  其中:应收票据2,110,899.621,749,280.852,424,106.636,326,679.29
        应收账款174,461,003.57172,942,669.73185,113,784.42205,844,998.58
  应收款项融资10,036,890.2913,954,934.636,938,904.112,607,929.85
  预付款项8,682,773.257,011,362.55,639,748.778,015,794.89
  其他应收款合计3,183,627.61623,318.73509,870.98326,132.24
  存货119,346,363.25120,837,524.14121,380,581.56123,802,526.88
  一年内到期的非流动资产338,308.78334,322.96330,384.14-
  其他流动资产2,311,982.17228,509.16520,492.591,431,469.28
  流动资产合计480,364,277.91497,876,654.81497,777,740.07466,613,262.38
非流动资产:
  长期应收款294,436.88380,523.52465,595.87876,157.65
  固定资产439,128,087.21442,056,097.64452,377,575.51456,359,103.62
  在建工程16,450,043.5514,249,821.79,631,211.1622,625,599.69
  使用权资产3,173,539.183,451,908.073,730,276.962,740,016.64
  无形资产17,928,117.918,163,587.0818,399,056.2614,125,049.52
  开发支出---3,915,748.15
  商誉50,774,526.0550,774,526.0550,774,526.0550,774,526.05
  长期待摊费用1,011,890.251,063,521.511,115,152.771,166,784.03
  递延所得税资产156,087.14145,212.15211,748.07223,982.44
  其他非流动资产11,326,275.56,865,576.557,591,741.584,403,273.04
  非流动资产合计540,243,003.66537,150,774.27544,296,884.23557,210,240.83
  资产总计1,020,607,281.571,035,027,429.081,042,074,624.31,023,823,503.21
流动负债:
  短期借款120,084,333.33120,075,069.44120,342,819.47100,213,750
  应付票据及应付账款169,903,728.4177,381,555.91200,466,271.05213,812,118.98
  其中:应付票据67,777,324.1974,024,704.3783,949,142.876,831,441.25
        应付账款102,126,404.21103,356,851.54116,517,128.25136,980,677.73
  预收款项710,514.26103,406.2883,120.3351,623.39
  合同负债127,811.31131,520.6110,841.242,253,498.54
  应付职工薪酬6,444,914.74,313,663.16,727,900.153,896,225.96
  应交税费4,192,645.13,205,356.462,924,342.353,242,595.91
  其他应付款合计3,413,731.863,755,892.864,181,739.354,141,117.3
        应付股利905,550.24905,550.24905,550.24905,550.24
  一年内到期的非流动负债1,121,369.491,107,824.921,095,740.7-
  其他流动负债1,621,999.791,541,491.31,715,798.246,389,512.8
  流动负债合计307,621,048.24311,615,780.87337,648,572.88334,000,442.88
非流动负债:
  租赁负债1,858,828.172,282,279.692,425,437.82,609,917.76
  递延收益23,332,851.2423,954,332.2816,080,801.8216,721,022.86
  递延所得税负债16,128,263.7915,625,073.7215,243,388.412,838,171.14
  非流动负债合计41,319,943.241,861,685.6933,749,628.0232,169,111.76
  负债合计348,940,991.44353,477,466.56371,398,200.9366,169,554.64
所有者权益(或股东权益):
  实收资本(或股本)153,340,000153,340,000153,340,000153,340,000
  资本公积195,868,214.42195,868,214.42195,868,214.42195,868,214.42
  盈余公积36,374,642.5636,374,642.5636,374,642.5630,387,099.89
  未分配利润286,083,433.15295,967,105.54285,093,566.42278,058,634.26
  归属于母公司股东权益合计671,666,290.13681,549,962.52670,676,423.4657,653,948.57
  股东权益合计671,666,290.13681,549,962.52670,676,423.4657,653,948.57
  负债和股东权益合计1,020,607,281.571,035,027,429.081,042,074,624.31,023,823,503.21
公告日期2025-08-272025-04-292025-04-222024-10-30
审计意见(境内)标准无保留意见
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