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南京新百

(600682)

  

流通市值:90.99亿  总市值:105.13亿
流通股本:11.65亿   总股本:13.46亿

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5,372,070,070.095,345,615,948.024,916,035,329.84,831,325,384.29
  交易性金融资产782,089,639.33801,556,3001,219,556,3001,269,556,300
  应收票据及应收账款1,306,991,758.821,315,887,580.581,437,236,498.381,323,413,924.11
        应收账款1,306,991,758.821,315,887,580.581,437,236,498.381,323,413,924.11
  预付款项535,761,587.12563,445,528.26581,050,451.72630,583,787.5
  其他应收款合计158,782,422.74169,001,889.61152,839,049.86165,701,350.62
  其中:应收利息3,362,630.123,362,630.12--
  存货863,315,650.69834,186,656.52826,871,996.54710,835,657.86
  其他流动资产99,387,156.0592,482,433.6597,150,683.1394,056,992.62
  流动资产合计9,118,398,284.849,122,176,336.649,230,740,309.439,025,473,397
非流动资产:
  长期股权投资416,074,645.33416,074,645.33421,171,536.49421,171,536.49
  其他权益工具投资1,623,499,555.171,623,078,164.051,441,337,967.451,441,570,983.55
  投资性房地产797,695,961.41800,209,801.99806,205,827.47812,201,852.95
  固定资产2,697,520,485.912,730,131,666.522,756,126,652.032,796,396,875.5
  在建工程110,962,712.2963,565,791.8959,662,105.0855,750,304.71
  使用权资产340,448,296.14359,959,453.05365,263,915.77382,806,003.45
  无形资产2,982,090,565.323,013,272,760.983,024,212,635.493,033,850,569.72
  开发支出325,263,673.46313,110,960.41300,464,379.21290,452,529.51
  商誉6,068,081,528.946,069,661,947.166,008,904,693.786,016,355,330.02
  长期待摊费用327,530,576.35337,678,809.81342,778,444.69354,301,069.03
  递延所得税资产400,603,952.34402,319,638.99399,947,160.62400,599,381.29
  其他非流动资产1,171,435,878.831,171,366,645.981,171,915,755.261,194,525,251.36
  非流动资产合计17,261,207,831.4917,300,430,286.1617,097,991,073.3417,199,981,687.58
  资产总计26,379,606,116.3326,422,606,622.826,328,731,382.7726,225,455,084.58
流动负债:
  短期借款504,381,972.22504,003,847.22518,450,056.94522,287,556.94
  应付票据及应付账款844,909,841.45888,511,038.45902,677,530.63849,345,165.04
  其中:应付票据2,802,108.32,508,629.92,144,148.581,921,828.43
        应付账款842,107,733.15886,002,408.55900,533,382.05847,423,336.61
  预收款项42,382,875.7925,481,689.0326,355,540.435,703,456.64
  合同负债3,523,542,329.173,517,443,387.133,476,041,182.643,442,788,851.05
  应付职工薪酬358,666,845.1384,862,678.78418,392,668.46453,198,699.46
  应交税费234,141,355.69230,706,947.77218,974,299.74239,958,955.03
  其他应付款合计361,725,173.64412,067,118.42396,899,034.9418,951,144.52
  其中:应付利息9,228,585.6337,114,332.5137,914,554.7235,764,554.71
        应付股利-21,426,115.54--
  一年内到期的非流动负债79,928,089.6981,532,75978,654,295.7280,887,539.34
  其他流动负债10,709,362.810,948,413.6310,602,046.4116,169,190.32
  流动负债合计5,960,387,845.556,055,557,879.436,047,046,655.846,059,290,558.34
非流动负债:
  长期借款155,779,454.98156,365,721.65156,596,679.48158,197,007.62
  租赁负债298,977,834.68317,970,061.73323,848,169.79342,972,543.18
  长期应付款25,267,892.9525,178,492.9525,094,992.9525,004,992.95
  长期应付职工薪酬98,093,475.5197,719,910.8595,436,924.7795,905,927.05
  预计负债17,398,247.7717,528,266.3417,576,258.1317,601,233.45
  递延收益15,299,319.7515,464,128.6613,585,261.9613,603,656.65
  递延所得税负债410,834,519.79414,532,637.42418,021,287.97418,984,224.6
  非流动负债合计1,021,650,745.431,044,759,219.61,050,159,575.051,072,269,585.5
  负债合计6,982,038,590.987,100,317,099.037,097,206,230.897,131,560,143.84
所有者权益(或股东权益):
  实收资本(或股本)1,346,132,2211,346,132,2211,346,132,2211,346,132,221
  资本公积8,873,472,1308,885,848,464.778,985,082,166.928,985,082,166.92
  减:库存股9,944,631.8669,612,42369,612,42369,612,423
  其他综合收益333,409,298.18376,573,695.51311,102,626.96334,659,629.91
  专项储备3,943,536.614,745,246.284,315,420.924,264,460.78
  盈余公积495,066,520.96495,066,520.96495,066,520.96495,066,520.96
  未分配利润6,658,230,207.176,612,316,040.326,595,796,783.556,467,264,807.47
  归属于母公司股东权益合计17,700,309,282.0617,651,069,765.8417,667,883,317.3117,562,857,384.04
  少数股东权益1,697,258,243.291,671,219,757.931,563,641,834.571,531,037,556.7
  股东权益合计19,397,567,525.3519,322,289,523.7719,231,525,151.8819,093,894,940.74
  负债和股东权益合计26,379,606,116.3326,422,606,622.826,328,731,382.7726,225,455,084.58
公告日期2025-10-312025-08-302025-04-302025-04-30
审计意见(境内)标准无保留意见
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