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康力源

(301287)

  

流通市值:7.18亿  总市值:28.09亿
流通股本:1703.14万   总股本:6667.00万

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790,638,949.36807,392,993.95797,433,034.181,070,255,348.97
  结算备付金-0--
  拆出资金-0--
  交易性金融资产399,018,847.52482,163,397.31341,880,891.32258,426,658.7
  衍生金融资产-064,273,954.1581,579,268.9
  应收票据及应收账款97,851,858.78109,858,635.3379,032,791.5464,974,267.84
  其中:应收票据-0--
        应收账款97,851,858.78109,858,635.3379,032,791.5464,974,267.84
  应收款项融资-0--
  预付款项5,897,725.962,293,243.615,974,267.034,239,112.68
  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6,176,415.3813,937,227.047,537,821.866,176,912.6
  其中:应收利息-0--
  存货97,503,378.0485,882,560.04113,118,630.3798,213,825.38
  合同资产41,562.541,562.5124,151.58101,635.82
  一年内到期的非流动资产-052,031,666.6251,737,777.77
  其他流动资产1,986,710.796,783,207.761,952,062.51,292,935.81
  流动资产合计1,399,115,448.331,508,352,827.541,463,359,271.151,636,997,744.47
非流动资产:
  其他权益工具投资21,800,00021,800,00021,800,00021,800,000
  其他非流动金融资产-0--
  投资性房地产-0--
  固定资产81,237,934.280,667,570.7377,059,230.0479,693,899.09
  在建工程2,224,252.662,049,853.963,501,582.09581,433.96
  生产性生物资产-0--
  油气资产-0--
  使用权资产7,631,395.118,077,387.612,446,759.842,562,386.7
  无形资产52,456,752.5652,956,594.9253,469,937.2853,956,279.64
  开发支出-0--
  商誉-0--
  长期待摊费用211,319.1220,686.51247,755.84257,123.25
  递延所得税资产9,390,436.739,831,604.239,296,622.729,183,490.39
  其他非流动资产433,655.46696,655.46394,211.71421,834.77
  非流动资产合计175,385,745.82176,300,353.42168,216,099.52168,456,447.8
  资产总计1,574,501,194.151,684,653,180.961,631,575,370.671,805,454,192.27
流动负债:
  短期借款99,550,536.39209,551,380.7217,036,975380,050,883.33
  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-306,665.86--
  应付票据及应付账款191,497,051.2189,507,091.34155,242,336171,573,160.46
  其中:应付票据72,589,189.4867,132,650.152,877,740.0777,442,049.23
        应付账款118,907,861.72122,374,441.24102,364,595.9394,131,111.23
  预收款项-0--
  合同负债5,854,890.296,752,153.3414,616,792.368,855,069.22
  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11,696,663.9611,770,755.519,604,439.1916,157,061.19
  应交税费20,528,824.2523,900,686.724,840,110.7220,955,335.67
  其他应付款合计3,213,598.371,516,647.946,590,382.91,799,447.2
  其中:应付利息-0--
        应付股利-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6,344,987.226,345,841.124,673,625.7512,565,981.76
  其他流动负债211,389.64259,115.42991,044.43309,595.17
  流动负债合计338,897,941.32449,910,337.93433,595,706.35612,266,534
非流动负债:
  租赁负债6,239,933.896,856,757.831,265,878.951,590,318.1
  长期应付款-0--
  长期应付职工薪酬-0--
  预计负债172,835.47530,815.34291,627.33333,574.59
  递延收益29,582,463.8129,856,789.1230,131,114.4330,405,439.74
  递延所得税负债20,533,336.7317,088,592.858,772,445.688,833,172.19
  其他非流动负债-0--
  非流动负债合计56,528,569.954,332,955.1440,461,066.3941,162,504.62
  负债合计395,426,511.22504,243,293.07474,056,772.74653,429,038.62
所有者权益(或股东权益):
  实收资本(或股本)66,670,00066,670,00066,670,00066,670,000
  其他权益工具-0--
  优先股-0--
  永续债-0--
  资本公积714,442,650.05715,082,373.56714,282,104.16715,082,373.56
  减:库存股-0--
  其他综合收益-0--
  专项储备-0--
  盈余公积45,511,494.0345,511,494.0345,511,494.0345,511,494.03
  一般风险准备-0--
  未分配利润352,450,538.85343,785,743.81331,054,999.74315,626,816.38
  归属于母公司股东权益合计1,179,074,682.931,171,049,611.41,157,518,597.931,142,890,683.97
  少数股东权益09,360,276.49-9,134,469.68
  股东权益合计1,179,074,682.931,180,409,887.891,157,518,597.931,152,025,153.65
  负债和股东权益合计1,574,501,194.151,684,653,180.961,631,575,370.671,805,454,192.27
公告日期2026-04-222026-04-222025-10-272025-08-26
审计意见(境内)标准无保留意见
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