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浙文影业

(601599)

  

流通市值:44.56亿  总市值:44.56亿
流通股本:11.61亿   总股本:11.61亿

资产负债表

报告期2025-12-312025-09-302025-06-302025-03-31
公司类型通用通用通用通用
流动资产:
  货币资金1,199,164,115.511,031,237,202.771,060,032,807.571,007,107,922.17
  交易性金融资产40,000,00040,000,00040,000,00040,000,000
  应收票据及应收账款473,724,425.8903,699,442.9933,028,662.88726,451,252.06
  其中:应收票据178,565,742.14118,876,441.360,043,174.5689,532,632.98
        应收账款295,158,683.66784,823,001.6872,985,488.32636,918,619.08
  应收款项融资19,686,426.859,697,75017,937,359.763,775,870.5
  预付款项32,435,102.0837,969,501.155,098,914.5974,162,745.03
  其他应收款合计19,162,672.9819,429,190.5518,053,798.3320,562,830.36
  存货773,741,334.9781,481,353.01848,272,305.65898,082,388.77
  其他流动资产118,284,532.9795,634,716.8892,998,047.2966,642,146.92
  流动资产合计2,676,198,611.092,919,149,157.213,065,421,896.072,836,785,155.81
非流动资产:
  长期股权投资763,708.61745,943.51931,452.01972,618.69
  其他权益工具投资18,577,50018,577,500151,204,347.83151,204,347.83
  投资性房地产36,498,606.8637,400,273.7538,301,940.6439,203,607.53
  固定资产388,239,947.54393,392,466.32382,111,795.75382,504,181.31
  在建工程9,595,316.059,112,322.3915,899,660.3814,953,705.41
  使用权资产77,318,577.1880,085,566.286,486,305.8593,032,683.52
  无形资产16,876,340.4717,377,659.7217,590,875.5317,769,551.98
  长期待摊费用7,617,422.58,325,735.18,586,643.078,885,616.99
  递延所得税资产48,244,670.1147,652,486.2248,963,021.7158,557,618.39
  非流动资产合计603,732,089.32612,669,953.21750,076,042.77767,083,931.65
  资产总计3,279,930,700.413,531,819,110.423,815,497,938.843,603,869,087.46
流动负债:
  短期借款260,490,156.02287,250,833.32448,688,371.65430,262,280.55
  应付票据及应付账款962,357,224.771,187,252,907.321,269,600,513.961,105,654,572.84
  其中:应付票据185,209,953.59333,920,169.69290,630,809.19311,943,957.64
        应付账款777,147,271.18853,332,737.63978,969,704.77793,710,615.2
  合同负债63,018,981.2539,210,366.740,084,506.1650,613,472.29
  应付职工薪酬147,446,211.6288,546,233.4772,360,319.3850,669,766.98
  应交税费41,533,176.5245,777,937.1344,809,929.8328,992,709.28
  其他应付款合计11,375,945.5816,028,605.6212,614,100.835,277,035.84
  一年内到期的非流动负债19,249,473.8224,726,450.3224,504,622.1926,680,094.54
  其他流动负债169,610,318.11113,266,747.5660,254,710.5687,912,971.55
  流动负债合计1,675,081,487.691,802,060,081.441,972,917,074.531,816,062,903.87
非流动负债:
  租赁负债50,634,806.7455,812,253.8256,329,087.1579,496,230.62
  预计负债2,820,000---
  递延收益7,239,960131,346,771.78131,707,914.28132,069,056.78
  递延所得税负债980,620.0281,143.6990,025.2105,005.29
  非流动负债合计61,675,386.76187,240,169.29188,127,026.63211,670,292.69
  负债合计1,736,756,874.451,989,300,250.732,161,044,101.162,027,733,196.56
所有者权益(或股东权益):
  实收资本(或股本)1,160,542,4531,160,542,4531,160,542,4531,160,542,453
  资本公积1,290,744,156.831,290,744,156.831,290,744,156.831,290,744,156.83
  其他综合收益-146,687,932.59-145,918,880.73-12,310,191.86-13,171,476.14
  盈余公积70,970,194.4570,970,194.4570,970,194.4570,970,194.45
  未分配利润-861,652,945.94-857,535,134.5-878,787,681.92-955,192,521.98
  归属于母公司股东权益合计1,513,915,925.751,518,802,789.051,631,158,930.51,553,892,806.16
  少数股东权益29,257,900.2123,716,070.6423,294,907.1822,243,084.74
  股东权益合计1,543,173,825.961,542,518,859.691,654,453,837.681,576,135,890.9
  负债和股东权益合计3,279,930,700.413,531,819,110.423,815,497,938.843,603,869,087.46
公告日期2026-03-312025-10-292025-08-272025-04-29
审计意见(境内)标准无保留意见
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