当前位置:首页 - 行情中心 - 康力源(301287) - 财务分析 - 资产负债表

康力源

(301287)

  

流通市值:6.71亿  总市值:26.27亿
流通股本:1703.14万   总股本:6667.00万

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1,070,255,348.97957,930,475.73867,121,403.52926,142,417.47
  交易性金融资产258,426,658.7251,411,781.71279,443,658.7104,881,000
  衍生金融资产81,579,268.953,442,896.450,000,000-
  应收票据及应收账款64,974,267.8489,448,166.86134,661,606.36106,011,217.03
        应收账款64,974,267.8489,448,166.86134,661,606.36106,011,217.03
  预付款项4,239,112.682,343,278.221,681,076.194,568,613.13
  其他应收款合计6,176,912.66,603,780.277,660,469.358,433,400.29
  存货98,213,825.3891,814,371.4994,237,699.38126,834,991.6
  合同资产101,635.82105,635.82105,635.82280,864.52
  一年内到期的非流动资产51,737,777.7751,159,583.3351,159,583.33-
  其他流动资产1,292,935.811,473,797.45,679,460.071,304,845.26
  流动资产合计1,636,997,744.471,505,733,767.231,491,750,592.721,278,457,349.3
非流动资产:
  其他权益工具投资21,800,00021,800,00021,800,00021,800,000
  固定资产79,693,899.0964,257,869.4663,968,45866,773,723.38
  在建工程581,433.9616,236,794.0416,402,342.5411,263,413.24
  使用权资产2,562,386.72,678,013.552,945,929.867,906,360.5
  无形资产53,956,279.6454,264,857.8454,761,855.7253,246,798.72
  长期待摊费用257,123.25266,490.66176,158.07211,665.5
  递延所得税资产9,183,490.3910,551,103.8710,919,048.4410,083,590.82
  其他非流动资产421,834.77417,553.85421,243.161,878,648.16
  非流动资产合计168,456,447.8170,472,683.27171,395,035.79173,164,200.32
  资产总计1,805,454,192.271,676,206,450.51,663,145,628.511,451,621,549.62
流动负债:
  短期借款380,050,883.33215,119,059.44170,120,374.5110,005,777.78
  衍生金融负债--4,051,016.84-
  应付票据及应付账款171,573,160.46180,600,422.02174,827,341.52116,987,238.54
  其中:应付票据77,442,049.23101,151,982.5544,428,095.49-
        应付账款94,131,111.2379,448,439.47130,399,246.03116,987,238.54
  合同负债8,855,069.229,354,929.5618,535,523.5712,373,661.51
  应付职工薪酬16,157,061.1913,866,499.2114,443,741.3810,306,523.2
  应交税费20,955,335.6723,746,386.0124,302,000.9916,916,704.38
  其他应付款合计1,799,447.21,928,869.582,071,217.173,071,371.72
  一年内到期的非流动负债12,565,981.7614,432,251.4415,545,883.5917,501,472.39
  其他流动负债309,595.17443,300.8440,607,686.98100,691,822.26
  流动负债合计612,266,534459,491,718.1464,504,786.55287,854,571.78
非流动负债:
  租赁负债1,590,318.11,661,424.222,531,167.077,460,335.33
  预计负债333,574.59610,837.31734,347.17590,266.47
  递延收益30,405,439.7430,666,431.7330,954,090.3531,228,415.72
  递延所得税负债8,833,172.198,779,918.858,192,784.546,446,292.31
  非流动负债合计41,162,504.6241,718,612.1142,412,389.1345,725,309.83
  负债合计653,429,038.62501,210,330.21506,917,175.68333,579,881.61
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
  资本公积715,082,373.56715,082,373.56715,082,373.56715,082,373.56
  盈余公积45,511,494.0345,511,494.0345,511,494.0341,031,346.21
  未分配利润315,626,816.38338,419,514.07319,678,056.82285,755,837.04
  归属于母公司股东权益合计1,142,890,683.971,165,683,381.661,146,941,924.411,108,539,556.81
  少数股东权益9,134,469.689,312,738.639,286,528.429,502,111.2
  股东权益合计1,152,025,153.651,174,996,120.291,156,228,452.831,118,041,668.01
  负债和股东权益合计1,805,454,192.271,676,206,450.51,663,145,628.511,451,621,549.62
公告日期2025-08-262025-04-292025-04-222024-10-24
审计意见(境内)标准无保留意见
TOP↑