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浙文影业

(601599)

  

流通市值:42.48亿  总市值:42.48亿
流通股本:11.61亿   总股本:11.61亿

资产负债表

报告期2025-03-312024-12-312024-09-302024-06-30
公司类型通用通用通用通用
流动资产:
货币资金1,007,107,922.171,225,683,537.221,092,326,537.211,087,824,344.01
应收票据及应收账款726,451,252.06472,184,987.4958,795,201.95980,105,957.74
其中:应收票据89,532,632.98137,888,033.53134,883,616.76110,413,111.13
应收账款636,918,619.08334,296,953.87823,911,585.19869,692,846.61
应收款项融资3,775,870.514,152,957.6313,568,520.09740,000
预付款项74,162,745.0344,364,410.8753,058,387.4233,893,369.12
其他应收款合计20,562,830.3621,477,141.9925,227,780.521,593,311.91
存货898,082,388.77869,242,676.59804,237,171.16904,748,819.56
其他流动资产66,642,146.92165,326,186.8751,986,770.6263,609,073.29
流动资产平衡项目0000
流动资产合计2,836,785,155.812,812,431,898.573,039,200,368.953,094,514,875.63
非流动资产:
长期股权投资972,618.691,108,765.181,102,856.071,179,912.15
其他权益工具投资151,204,347.83151,204,347.83151,204,347.83151,204,347.83
投资性房地产39,203,607.5340,105,274.42--
固定资产382,504,181.31390,308,869.71388,134,028.13289,519,072.99
在建工程14,953,705.4110,602,850.4532,802,060.09111,709,598.13
使用权资产93,032,683.5299,294,332.1911,852,589.915,379,114.45
无形资产17,769,551.9817,849,211.617,147,526.9517,333,050.67
长期待摊费用8,885,616.9910,790,281.67,168,881.958,194,546.66
递延所得税资产58,557,618.3958,945,092.4621,040,271.2321,699,938.9
非流动资产平衡项目0000
非流动资产合计767,083,931.65780,209,025.44630,452,562.15616,219,581.78
资产平衡项目0000
资产总计3,603,869,087.463,592,640,924.013,669,652,931.13,710,734,457.41
流动负债:
短期借款430,262,280.55340,159,814.87388,300,263.89477,433,819.45
应付票据及应付账款1,105,654,572.841,103,325,695.711,281,446,963.351,237,123,703.77
其中:应付票据311,943,957.64252,956,989278,937,977.8295,742,803.67
应付账款793,710,615.2850,368,706.711,002,508,985.55941,380,900.1
合同负债50,613,472.2983,484,952.4140,977,965.173,820,437.59
应付职工薪酬50,669,766.9893,450,889.4568,685,447.5656,217,824.97
应交税费28,992,709.2836,664,475.3845,101,453.5248,289,017.92
其他应付款合计35,277,035.8416,084,109.5218,147,075.3817,291,401.22
一年内到期的非流动负债26,680,094.5425,700,238.744,408,103.184,355,853.78
其他流动负债87,912,971.55143,987,187.42129,660,645.17110,291,542.44
流动负债平衡项目0000
流动负债合计1,816,062,903.871,842,857,363.51,976,727,917.152,024,823,601.14
非流动负债:
租赁负债79,496,230.6279,689,589.078,907,060.39,265,295.81
递延收益132,069,056.78132,430,199.78132,116,087.28139,634,382.28
递延所得税负债105,005.29176,071.03--
非流动负债平衡项目0000
非流动负债合计211,670,292.69212,295,859.88141,023,147.58148,899,678.09
负债平衡项目0000
负债合计2,027,733,196.562,055,153,223.382,117,751,064.732,173,723,279.23
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-13,171,476.14-13,414,640.11-14,040,860.69-12,796,173.22
盈余公积70,970,194.4570,970,194.4570,970,194.4570,970,194.45
未分配利润-955,192,521.98-994,367,985.4-978,004,978.07-993,745,985.33
归属于母公司股东权益平衡项目0000
归属于母公司股东权益合计1,553,892,806.161,514,474,178.771,530,210,965.521,515,714,645.73
少数股东权益22,243,084.7423,013,521.8621,690,900.8521,296,532.45
股东权益平衡项目0000
股东权益合计1,576,135,890.91,537,487,700.631,551,901,866.371,537,011,178.18
负债和股东权益合计3,603,869,087.463,592,640,924.013,669,652,931.13,710,734,457.41
公告日期2025-04-292025-04-122024-10-292024-08-23
审计意见(境内)标准无保留意见
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