当前位置:首页 - 行情中心 - 中捷精工(301072) - 财务分析 - 资产负债表

中捷精工

(301072)

  

流通市值:15.66亿  总市值:24.51亿
流通股本:6713.99万   总股本:1.05亿

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158,645,974.12169,312,592.03134,825,084.04179,731,690.23
  交易性金融资产39,154.51-10,000,000-
  衍生金融资产87,968---
  应收票据及应收账款265,188,709.96246,395,824.34239,003,883.73254,139,960.73
  其中:应收票据39,979,325.3931,895,609.714,990,228.6213,438,208.52
        应收账款225,209,384.57214,500,214.64224,013,655.11240,701,752.21
  应收款项融资48,432,653.6555,918,962.6631,021,07437,016,898.43
  预付款项3,810,103.043,682,312.934,942,167.053,132,644.26
  其他应收款合计1,800,517.731,703,520.071,507,973.591,229,855.78
  存货183,787,812.38158,880,343.49167,812,078.91170,125,382.62
  其他流动资产4,005,398.236,163,610.546,042,924.469,668,272.84
  流动资产合计665,798,291.62642,057,166.06595,155,185.78655,044,704.89
非流动资产:
  其他权益工具投资8,000,0008,000,0008,000,0003,000,000
  固定资产489,767,850.8482,981,153.75493,631,080.12498,668,191.72
  在建工程42,428,851.0345,954,616.7643,226,241.7349,944,457.49
  使用权资产3,183,778.953,465,734.32--
  无形资产63,485,865.2464,240,528.565,005,971.0265,841,143.67
  商誉4,489,404.884,489,404.884,489,404.884,489,404.88
  长期待摊费用15,519,245.0315,414,463.515,023,839.8713,861,599.74
  递延所得税资产31,597,887.2830,322,777.4530,039,457.7228,368,246.26
  其他非流动资产5,791,158.2314,201,236.8210,522,751.1515,033,505.59
  非流动资产合计664,264,041.44669,069,915.98669,938,746.49679,206,549.35
  资产总计1,330,062,333.061,311,127,082.041,265,093,932.271,334,251,254.24
流动负债:
  短期借款108,338,584.63147,178,584.63150,110,084.63156,640,000
  交易性金融负债-1,804,284.16--
  应付票据及应付账款376,612,200.24326,162,254.02290,277,596.09357,630,800.54
  其中:应付票据108,298,609.6112,178,078.8873,461,086.8394,966,324.33
        应付账款268,313,590.64213,984,175.14216,816,509.26262,664,476.21
  合同负债655,517.45314,210.13395,767.64224,659.77
  应付职工薪酬14,276,243.4212,971,316.8611,344,007.8913,186,429.28
  应交税费390,640.921,312,031.381,286,294.241,901,721.13
  其他应付款合计5,282,724.415,270,272.325,514,933.855,556,006.56
  其中:应付利息118,801.46133,049.32118,801.46142,062.57
  其他流动负债38,236,00423,426,399.068,639,488.7612,909,858.19
  流动负债合计543,791,915.07518,439,352.56467,568,173.1548,049,475.47
非流动负债:
  长期借款27,693,319.2222,411,297.319,865,047.3-
  租赁负债3,217,548.743,257,388.43--
  预计负债1,116,379.292,578,917.892,058,986.611,184,575.8
  非流动负债合计32,027,247.2528,247,603.6221,924,033.911,184,575.8
  负债合计575,819,162.32546,686,956.18489,492,207.01549,234,051.27
所有者权益(或股东权益):
  实收资本(或股本)105,045,985105,045,985105,054,800105,054,800
  资本公积434,278,235.07433,714,713.2433,258,351.17432,684,634.49
  减:库存股11,458,921.1911,458,921.1911,564,701.1911,564,701.19
  专项储备1,633,137.81,633,137.81,667,898.961,667,898.96
  盈余公积26,947,226.0726,947,226.0726,947,226.0726,947,226.07
  未分配利润193,180,594.14201,434,046.97210,038,261.41220,787,977.16
  归属于母公司股东权益合计749,626,256.89757,316,187.85765,401,836.42775,577,835.49
  少数股东权益4,616,913.857,123,938.0110,199,888.849,439,367.48
  股东权益合计754,243,170.74764,440,125.86775,601,725.26785,017,202.97
  负债和股东权益合计1,330,062,333.061,311,127,082.041,265,093,932.271,334,251,254.24
公告日期2025-10-252025-08-272025-04-292025-04-22
审计意见(境内)标准无保留意见
TOP↑