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唯特偶

(301319)

  

流通市值:29.39亿  总市值:60.20亿
流通股本:6069.45万   总股本:1.24亿

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144,143,891.84190,763,801.86160,034,684.6194,334,754.22
  结算备付金0-00
  拆出资金0-00
  交易性金融资产406,831,532.27404,464,267.67427,281,224.09396,401,682.19
  衍生金融资产0-00
  应收票据及应收账款584,690,447.77539,025,651.65523,625,843.24472,163,937.84
  其中:应收票据150,877,775.3125,905,180.6492,173,841.6191,746,441.11
        应收账款433,812,672.47413,120,471.01431,452,001.63380,417,496.73
  应收款项融资34,165,450.5670,316,578.8925,321,324.4724,865,884.66
  预付款项2,936,411.552,655,517.554,312,086.533,896,504.05
  应收保费0-00
  应收分保账款0-00
  应收分保合同准备金0-00
  其他应收款合计13,646,433.762,968,278.333,299,025.244,052,782.61
  其中:应收利息0-00
        应收股利0-00
  买入返售金融资产0-00
  存货110,090,948.4795,649,860.07108,124,448.76112,787,151.92
  合同资产0-00
  一年内到期的非流动资产0-00
  其他流动资产4,483,368.924,505,925.156,919,752.438,076,996.96
  流动资产合计1,300,988,485.141,310,349,881.171,258,918,389.361,216,579,694.45
非流动资产:
  发放委托贷款及垫款0-00
  债权投资0-00
  其他债权投资0-00
  长期应收款0-00
  长期股权投资2,399,490.782,429,754.632,540,389.090
  其他权益工具投资0-00
  其他非流动金融资产0-00
  投资性房地产16,107,431.4216,239,993.5916,372,555.7616,505,117.93
  固定资产56,357,989.9954,950,564.0254,599,875.3255,061,220.43
  在建工程1,391,731.43648,868.96593,723.670
  生产性生物资产0-00
  油气资产0-00
  使用权资产3,263,858.362,320,2112,452,388.92,747,450.48
  无形资产19,328,404.3619,513,311.8519,699,252.0219,885,708.17
  开发支出0-00
  商誉264,082.8264,082.8264,082.8264,082.8
  长期待摊费用20,609,956.1519,735,002.4919,968,169.539,348,918.58
  递延所得税资产6,552,971.256,689,449.216,769,579.165,356,445.25
  其他非流动资产3,928,693.753,742,117.32,223,157.853,725,933.21
  非流动资产合计130,204,610.29126,533,355.85125,483,174.1112,894,876.85
  资产总计1,431,193,095.431,436,883,237.021,384,401,563.461,329,474,571.3
流动负债:
  短期借款22,024,232.165,895,488.617,812,657.580
  向中央银行借款0-00
  吸收存款及同业存放0-00
  拆入资金0-00
  交易性金融负债0-00
  衍生金融负债0-00
  应付票据及应付账款195,201,773.97185,806,779.28156,361,976.29124,550,735.61
  其中:应付票据120,342,528.16119,627,658.05109,446,078.7970,645,435.3
        应付账款74,859,245.8166,179,121.2346,915,897.553,905,300.31
  预收款项200,602.83-00
  合同负债4,263,751.242,915,020.191,284,573.184,001,061.39
  卖出回购金融资产款0-00
  应付手续费及佣金0-00
  应付职工薪酬11,635,390.129,706,058.2914,585,78010,212,500.93
  应交税费5,900,237.867,855,659.367,673,563.787,621,510.37
  其他应付款合计4,772,008.25,506,437.637,135,364.674,461,480.67
  其中:应付利息0-00
        应付股利0-00
  应付分保账款0-00
  保险合同准备金0-00
  代理买卖证券款0-00
  代理承销证券款0-00
  一年内到期的非流动负债1,637,765.291,084,899.631,189,093.891,173,521.41
  其他流动负债50,042,589.7848,423,179.8441,118,004.7646,043,223.28
  流动负债合计295,678,351.45267,193,522.83237,161,014.15198,064,033.66
非流动负债:
  长期借款0-00
  应付债券0-00
  优先股0-00
  永续债0-00
  租赁负债1,623,344.831,148,120.481,250,725.021,489,582.09
  长期应付款0-00
  长期应付职工薪酬0-00
  预计负债0-00
  递延收益1,020,382.961,232,303.831,444,224.72,132,577.41
  递延所得税负债850,662.5889,218668,683.42664,212.57
  其他非流动负债0-00
  非流动负债合计3,494,390.293,269,642.313,363,633.144,286,372.07
  负债合计299,172,741.74270,463,165.14240,524,647.29202,350,405.73
所有者权益(或股东权益):
  实收资本(或股本)123,782,21985,028,00085,028,00085,028,000
  其他权益工具0-00
  优先股0-00
  永续债0-00
  资本公积622,516,374.3649,195,309.02648,754,260.97647,946,531.32
  减:库存股0-00
  其他综合收益-284,322.64-26,742.64-145.98-27,536.34
  专项储备5,500,578.665,074,920.114,708,426.365,080,497.87
  盈余公积41,898,568.7439,641,403.2137,743,265.0429,320,000
  一般风险准备0-00
  未分配利润337,648,170.03387,507,182.18367,643,109.78359,776,672.72
  归属于母公司股东权益合计1,131,061,588.091,166,420,071.881,143,876,916.171,127,124,165.57
  少数股东权益958,765.6-00
  股东权益合计1,132,020,353.691,166,420,071.881,143,876,916.171,127,124,165.57
  负债和股东权益合计1,431,193,095.431,436,883,237.021,384,401,563.461,329,474,571.3
公告日期2025-08-292025-04-212025-04-212024-10-29
审计意见(境内)标准无保留意见
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