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聚赛龙

(301131)

  

流通市值:14.09亿  总市值:19.67亿
流通股本:3915.49万   总股本:5466.24万

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118,649,082.45149,804,326.71171,580,757.12300,636,760.17
  结算备付金--0-
  拆出资金--0-
  交易性金融资产--0-
  衍生金融资产--0-
  应收票据及应收账款384,493,782.51443,850,574.56387,683,223.16393,093,533.48
  其中:应收票据13,592,288.3513,612,884.2812,094,497.0818,554,223.03
        应收账款370,901,494.16430,237,690.28375,588,726.08374,539,310.45
  应收款项融资390,038,662.47433,686,586.88366,471,784.61375,873,235.68
  预付款项30,569,428.9516,017,632.6624,397,508.1817,299,983.92
  应收保费--0-
  应收分保账款--0-
  应收分保合同准备金--0-
  其他应收款合计11,306,985.2611,384,040.358,810,536.843,130,702.6
  其中:应收利息--0-
        应收股利--0-
  买入返售金融资产--0-
  存货341,489,353.96226,074,258.67275,252,734.36236,511,659.02
  合同资产--0-
  一年内到期的非流动资产--0-
  其他流动资产27,778,643.8114,256,085.6434,195,012.1137,434,637.78
  流动资产合计1,304,325,939.411,295,073,505.471,268,391,556.381,363,980,512.65
非流动资产:
  发放委托贷款及垫款--0-
  债权投资--0-
  其他债权投资--0-
  长期应收款--0-
  长期股权投资--0-
  其他权益工具投资--0-
  其他非流动金融资产--0-
  投资性房地产--0-
  固定资产585,067,166.44524,536,506.43464,271,759.3467,682,772.86
  在建工程39,358,932.1887,403,168.73125,204,710.4793,776,260.16
  生产性生物资产--0-
  油气资产--0-
  使用权资产--0-
  无形资产55,687,002.8156,154,246.0656,621,489.3156,336,389.29
  开发支出--0-
  商誉--0-
  长期待摊费用2,853,881.773,493,644.774,137,365.484,545,583.1
  递延所得税资产4,936,120.024,967,972.743,935,213.514,153,888.76
  其他非流动资产20,285,303.9826,954,192.5122,841,314.3224,642,184.91
  非流动资产合计708,188,407.2703,509,731.24677,011,852.39651,137,079.08
  资产总计2,012,514,346.611,998,583,236.711,945,403,408.772,015,117,591.73
流动负债:
  短期借款126,675,422.36184,557,371.5210,518,251.19313,362,890.3
  向中央银行借款--0-
  吸收存款及同业存放--0-
  拆入资金--0-
  交易性金融负债--0-
  衍生金融负债--0-
  应付票据及应付账款270,900,833.87265,382,838.26223,001,480.28207,217,849.2
  其中:应付票据59,686,550.5947,323,900.3433,456,277.1445,845,289.92
        应付账款211,214,283.28218,058,937.92189,545,203.14161,372,559.28
  预收款项437,610.69553,183.41149,674.09215,450.89
  合同负债13,566,703.363,277,401.882,452,454.41,975,213.06
  卖出回购金融资产款--0-
  应付手续费及佣金--0-
  应付职工薪酬6,175,734.897,274,826.77,750,056.086,991,340.77
  应交税费2,878,523.9412,232,541.613,293,040.735,438,750.65
  其他应付款合计3,249,123.463,162,358.262,064,513.081,636,003.38
  其中:应付利息--0-
        应付股利--0-
  应付分保账款--0-
  保险合同准备金--0-
  代理买卖证券款--0-
  代理承销证券款--0-
  一年内到期的非流动负债192,570,333.99174,360,795.29146,929,723.689,755,831.36
  其他流动负债7,071,597.634,412,689.496,048,838.688,204,655.84
  流动负债合计623,525,884.19655,214,006.4602,208,032.13634,797,985.45
非流动负债:
  长期借款286,301,976.48249,577,813.31254,644,863.18298,273,583.62
  应付债券-226,835,932.95223,564,040.55220,327,648.75
  优先股--0-
  永续债--0-
  租赁负债--0-
  长期应付款--0-
  长期应付职工薪酬--0-
  预计负债1,834,627.471,834,627.470-
  递延收益14,735,666.1815,246,965.0813,431,889.9414,014,731.47
  递延所得税负债3,424,588.056,762,825.372,562,122.671,945,189.84
  其他非流动负债--0-
  非流动负债合计306,296,858.18500,258,164.18494,202,916.34534,561,153.68
  负债合计929,822,742.371,155,472,170.581,096,410,948.471,169,359,139.13
所有者权益(或股东权益):
  实收资本(或股本)54,662,43347,794,75547,794,06747,792,230
  其他权益工具-28,436,787.1734,736,943.9434,746,244.9
  资本公积757,567,042.06505,480,649.68505,468,632.72505,402,187.03
  减:库存股--0-
  其他综合收益2,321,236.792,517,125.912,756,299.574,469,879.35
  专项储备--0-
  盈余公积23,897,377.523,897,377.523,890,00023,890,000
  一般风险准备--0-
  未分配利润269,807,509.18260,548,365.16265,457,375.63258,996,923.85
  归属于母公司股东权益合计1,108,255,598.53868,675,060.42880,103,318.86875,297,465.13
  少数股东权益-25,563,994.29-25,563,994.29-31,110,858.56-29,539,012.53
  股东权益合计1,082,691,604.24843,111,066.13848,992,460.3845,758,452.6
  负债和股东权益合计2,012,514,346.611,998,583,236.711,945,403,408.772,015,117,591.73
公告日期2026-04-292026-04-292025-10-302025-08-29
审计意见(境内)标准无保留意见
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