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邵阳液压

(301079)

  

流通市值:34.81亿  总市值:49.29亿
流通股本:7693.34万   总股本:1.09亿

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11,981,709.7722,286,913.013,314,727.689,516,676.44
  应收票据及应收账款289,439,518.61297,579,206.37283,117,788.02274,913,065.5
  其中:应收票据26,657,697.0625,078,423.2726,447,848.0520,328,497.03
        应收账款262,781,821.55272,500,783.1256,669,939.97254,584,568.47
  应收款项融资5,550,068.899,643,967.612,379,843.654,603,073.4
  预付款项19,001,73310,530,058.0613,335,622.7112,492,241.89
  其他应收款合计2,673,999.181,624,769.435,383,021.76,279,552.19
  其中:应收利息-0--
        应收股利-0--
  存货120,223,120.75114,505,410.58103,485,865.2593,214,823.74
  合同资产14,356,005.8916,704,809.617,177,93622,609,949.48
  一年内到期的非流动资产-0--
  其他流动资产358,674.471,335,320.391,238,634.14297,364.39
  流动资产合计463,584,830.56474,210,455.05429,433,439.15423,926,747.03
非流动资产:
  长期股权投资5,089,570.165,175,892.185,402,820.745,475,956.54
  投资性房地产8,657,488.69,473,721.459,559,251.199,632,545.93
  固定资产338,662,275.18342,466,550.48306,027,864.75311,107,114.32
  在建工程20,641,350.4821,325,154.953,960,615.5652,524,378.67
  使用权资产1,479,527.371,582,750.21,813,522.741,939,254.33
  无形资产38,385,671.9138,824,550.0739,190,897.0239,528,377.07
  长期待摊费用2,620,086.912,614,571.682,852,299.742,188,753.02
  递延所得税资产23,426,290.9624,054,246.4923,629,939.3223,614,231.13
  其他非流动资产14,644,933.815,534,9683,569,280.563,580,729.23
  非流动资产合计453,607,195.38451,052,405.45446,006,491.62449,591,340.24
  资产总计917,192,025.94925,262,860.5875,439,930.77873,518,087.27
流动负债:
  短期借款106,601,779.17106,574,113.8895,047,384.3589,295,127.92
  应付票据及应付账款145,447,138.78152,268,072.58124,887,339.9126,740,246.51
  其中:应付票据13,071,37017,355,8279,034,4574,000,000
        应付账款132,375,768.78134,912,245.58115,852,882.9122,740,246.51
  合同负债6,295,581.1710,055,398.268,018,659.836,524,544.69
  应付职工薪酬3,347,778.355,435,778.53,437,466.363,561,346.59
  应交税费769,760.79782,913.65466,413.671,802,261.96
  其他应付款合计8,528,270.769,067,312.528,346,862.468,910,741.5
  其中:应付利息-0--
        应付股利-0--
  一年内到期的非流动负债65,985,928.6452,889,965.0141,638,982.3142,298,224.95
  其他流动负债24,574,744.1420,132,920.2122,197,525.868,131,785.26
  流动负债合计361,550,981.8357,206,474.61304,040,634.74287,264,279.38
非流动负债:
  长期借款26,017,564.0339,212,822.0948,955,621.8755,984,398.25
  租赁负债1,081,840.561,193,986.011,477,951.391,487,311.36
  预计负债401,437.491,522,713.57735,746.95570,622.4
  递延收益39,036,023.6139,815,317.237,348,373.7937,028,611.12
  递延所得税负债9,458,138.849,695,276.6310,070,483.3810,263,476.5
  非流动负债合计75,995,004.5391,440,115.598,588,177.38105,334,419.63
  负债合计437,545,986.33448,646,590.11402,628,812.12392,598,699.01
所有者权益(或股东权益):
  实收资本(或股本)108,932,234108,932,234108,932,234109,338,159
  资本公积188,576,763.63188,576,763.63188,576,763.63191,629,319.63
  减:库存股7,527,641.757,527,641.757,527,641.757,527,641.75
  盈余公积38,618,730.8538,618,730.8537,798,756.9637,798,756.96
  未分配利润150,718,416.33147,635,300.72145,086,989.16149,736,865.02
  归属于母公司股东权益合计479,318,503.06476,235,387.45472,867,102480,975,458.86
  少数股东权益327,536.55380,882.94-55,983.35-56,070.6
  股东权益合计479,646,039.61476,616,270.39472,811,118.65480,919,388.26
  负债和股东权益合计917,192,025.94925,262,860.5875,439,930.77873,518,087.27
公告日期2026-04-242026-04-242025-10-292025-08-27
审计意见(境内)标准无保留意见
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