当前位置:首页 - 行情中心 - 电子城(600658) - 财务分析 - 资产负债表

电子城

(600658)

  

流通市值:67.67亿  总市值:67.67亿
流通股本:11.19亿   总股本:11.19亿

资产负债表

报告期2025-09-302025-06-302025-03-312024-12-31
公司类型通用通用通用通用
流动资产:
  货币资金1,180,282,397.421,248,703,519.661,256,277,861.011,373,044,367.58
  应收票据及应收账款685,333,688.53712,213,483.41702,846,524.64704,450,859.76
  其中:应收票据1,988,596.291,397,902.722,670,194.113,985,155
        应收账款683,345,092.24710,815,580.69700,176,330.53700,465,704.76
  应收款项融资1,286,913.331,865,692.13142,140.755,142,338.95
  预付款项94,245,390.1787,192,915.9188,043,058.81106,194,391.78
  其他应收款合计239,483,495.45233,794,477.21223,166,695.08232,861,028.11
  存货6,226,297,948.626,333,382,168.886,792,773,114.486,762,474,515.33
  合同资产92,682,847.6786,444,782.19102,087,126.81101,128,720.81
  一年内到期的非流动资产5,550,255.15,491,414.294,873,755.647,005,286.63
  其他流动资产319,425,221.58316,675,151.92317,930,826.22301,338,857.33
  流动资产合计8,844,588,157.879,025,763,605.69,488,141,103.449,593,640,366.28
非流动资产:
  长期应收款13,869.1113,597.85572,881.2913,384.67
  长期股权投资667,884,203.86665,149,447.57659,095,479.88656,567,716.07
  其他权益工具投资817,709,338.12662,932,100.71669,376,752.56669,376,752.56
  其他非流动金融资产172,787,149.29172,787,149.29151,990,441.18154,268,014.75
  投资性房地产4,579,338,951.014,557,083,022.14,001,223,629.614,035,323,317.22
  固定资产253,774,973.94258,212,938.74255,986,389.85253,959,097.29
  在建工程107,275,560.99106,695,471.3269,428,686.22265,751,197.64
  使用权资产394,023,916.14425,227,402.88453,848,246.39480,631,201.51
  无形资产191,976,048.52195,941,455.1243,221,112.14249,649,886.4
  开发支出1,058,399.15257,357.76310,076.3310,076.3
  商誉60,046,75660,046,75660,046,75660,046,756
  长期待摊费用319,119,060.52335,058,555.75322,440,308.12338,202,929.3
  递延所得税资产335,485,699.89336,465,474.22339,694,399.32326,352,551.45
  其他非流动资产56,516,081.4550,170,882.4953,504,572.287,728,995.22
  非流动资产合计7,957,010,007.997,826,041,611.767,480,739,731.147,498,181,876.38
  资产总计16,801,598,165.8616,851,805,217.3616,968,880,834.5817,091,822,242.66
流动负债:
  短期借款39,406,527.7829,806,527.7820,008,402.840,029,513.86
  应付票据及应付账款1,626,986,276.251,661,241,666.021,737,257,116.741,835,840,647.5
        应付账款1,626,986,276.251,661,241,666.021,737,257,116.741,835,840,647.5
  预收款项44,473,683.2246,974,904.1956,683,600.1558,484,364.2
  合同负债114,750,443.98101,865,732.88138,686,221.47135,528,803.4
  应付职工薪酬53,288,567.9653,543,040.0152,698,844.4853,432,079.8
  应交税费221,687,984.13203,230,601.16222,856,647.08218,212,347.48
  其他应付款合计584,730,661.23573,022,696.56418,769,969.11410,895,162.4
  其中:应付利息30,526,647.9629,100,182.8-26,269,996.82
  一年内到期的非流动负债2,957,757,941.822,975,990,641.862,361,132,666.891,400,579,976.68
  其他流动负债1,054,985,449.741,074,245,860.021,067,586,902.111,052,584,594.52
  流动负债合计6,698,067,536.116,719,921,670.486,075,680,370.835,205,587,489.84
非流动负债:
  长期借款2,370,111,582.212,327,286,240.512,351,865,719.932,273,589,547.75
  应付债券1,099,004,932.51,077,653,378.421,698,403,985.182,697,225,971.72
  租赁负债458,708,646.47475,395,359.2502,493,940.22501,627,735.21
  长期应付款12,740,736.4112,740,736.4112,740,736.4112,740,736.41
  预计负债5,320,4065,320,4065,320,4065,320,406
  递延收益24,727,489.625,304,432.4725,881,375.3526,458,318.23
  递延所得税负债238,705,214.33203,084,443.81209,887,840.73209,392,524.87
  其他非流动负债---26,694.34
  非流动负债合计4,209,319,007.524,126,784,996.824,806,594,003.825,726,381,934.53
  负债合计10,907,386,543.6310,846,706,667.310,882,274,374.6510,931,969,424.37
所有者权益(或股东权益):
  实收资本(或股本)1,118,585,0451,118,585,0451,118,585,0451,118,585,045
  资本公积2,660,068,766.642,660,068,766.642,660,068,766.642,660,068,766.64
  其他综合收益282,795,217.45166,712,289.39171,545,778.29171,545,778.29
  盈余公积234,927,029.89234,927,029.89234,927,029.89234,927,029.89
  未分配利润1,247,955,825.421,474,803,501.181,557,580,228.421,624,575,558.67
  归属于母公司股东权益合计5,544,331,884.45,655,096,632.15,742,706,848.245,809,702,178.49
  少数股东权益349,879,737.83350,001,917.96343,899,611.69350,150,639.8
  股东权益合计5,894,211,622.236,005,098,550.066,086,606,459.936,159,852,818.29
  负债和股东权益合计16,801,598,165.8616,851,805,217.3616,968,880,834.5817,091,822,242.66
公告日期2025-10-312025-08-302025-04-262025-04-26
审计意见(境内)标准无保留意见
TOP↑