当前位置:首页 - 行情中心 - 浙江黎明(603048) - 财务分析 - 资产负债表

浙江黎明

(603048)

  

流通市值:29.08亿  总市值:29.08亿
流通股本:1.47亿   总股本:1.47亿

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121,959,878.4797,189,317.42158,258,231.32122,235,356.82
  交易性金融资产20,215,501.6720,209,409.75194,179.95118,792.44
  应收票据及应收账款211,490,155.74198,362,119.1192,685,267.6177,457,335.51
  其中:应收票据6,028,821.375,132,060.926,331,440.036,495,839.45
        应收账款205,461,334.37193,230,058.18186,353,827.57170,961,496.06
  应收款项融资117,888,558.41122,062,056.2980,876,354.21103,034,099.62
  预付款项1,937,063.122,502,305.243,283,733.284,354,393.18
  其他应收款合计473,917.53545,232.44493,737.77373,151.15
  存货186,446,877.39185,207,085.29187,314,937.97186,034,176.36
  其他流动资产677,188.562,148,629.881,990,812.311,590,873.6
  流动资产合计661,089,140.89628,226,155.41625,097,254.41595,198,178.68
非流动资产:
  长期股权投资89,378,406.0187,696,605.2984,785,031.8576,631,105.72
  固定资产706,268,201.02715,482,989.78717,012,978.56710,676,301.95
  在建工程43,220,574.3739,718,735.5241,974,769.1548,615,531.55
  使用权资产1,791,402.382,038,100.392,301,196.141,169,304.19
  无形资产93,563,165.0693,656,850.2294,498,436.0895,086,221.37
  长期待摊费用788,899.99200,229.43222,477.13244,724.83
  递延所得税资产13,072,481.5413,989,545.214,888,554.6114,976,957.62
  其他非流动资产15,393,149.215,018,896.2514,501,200.1114,349,982.63
  非流动资产合计963,476,279.57967,801,952.08970,184,643.63961,750,129.86
  资产总计1,624,565,420.461,596,028,107.491,595,281,898.041,556,948,308.54
流动负债:
  短期借款74,018,022.0862,009,413.1540,028,006.930,008,888.89
  应付票据及应付账款165,512,819.98165,117,007.93184,063,637.45170,309,746.73
  其中:应付票据71,271,648.2669,262,001.7162,807,008.4365,203,807.26
        应付账款94,241,171.7295,855,006.22121,256,629.02105,105,939.47
  合同负债307,490.73338,459.77463,125.42654,196.03
  应付职工薪酬22,679,252.9220,526,556.9932,406,332.2127,473,924.98
  应交税费9,074,705.298,546,355.2611,801,789.4710,268,517.46
  其他应付款合计43,488,933.572,945,805.082,538,148.5311,841,332.47
        应付股利40,898,928--10,234,182
  一年内到期的非流动负债904,412.62895,697.65886,835.82608,145.29
  其他流动负债39,973.843,999.7760,206.31-
  流动负债合计316,025,610.99260,423,295.6272,248,082.11251,164,751.85
非流动负债:
  租赁负债657,965.141,188,141.561,415,454.73511,813.05
  递延收益16,988,583.7317,480,269.4617,972,092.7618,464,665.58
  递延所得税负债22,390,838.622,468,304.5122,346,683.0521,920,153.59
  非流动负债合计40,037,387.4741,136,715.5341,734,230.5440,896,632.22
  负债合计356,062,998.46301,560,011.13313,982,312.65292,061,384.07
所有者权益(或股东权益):
  实收资本(或股本)146,880,000146,880,000146,880,000146,880,000
  资本公积808,516,731.29808,516,731.29808,516,731.29808,516,731.29
  减:库存股10,002,907.5910,002,907.5910,002,907.5910,002,907.59
  其他综合收益49,131.353,660.759,815.3545,160.6
  盈余公积54,068,381.7554,068,381.7554,068,381.7549,371,996.27
  未分配利润272,121,941.21296,759,512.47283,346,599.68271,450,670.91
  归属于母公司股东权益合计1,271,633,277.961,296,275,378.621,282,868,620.481,266,261,651.48
  少数股东权益-3,130,855.96-1,807,282.26-1,569,035.09-1,374,727.01
  股东权益合计1,268,502,4221,294,468,096.361,281,299,585.391,264,886,924.47
  负债和股东权益合计1,624,565,420.461,596,028,107.491,595,281,898.041,556,948,308.54
公告日期2025-08-302025-04-262025-04-262024-10-29
审计意见(境内)标准无保留意见
TOP↑