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神驰机电

(603109)

  

流通市值:60.80亿  总市值:60.80亿
流通股本:2.09亿   总股本:2.09亿

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942,253,429.491,073,777,285.391,136,533,397.22801,235,866.93
  交易性金融资产29,364,587.9833,075,684.3832,780,700.96215,707,941.1
  应收票据及应收账款657,101,794.93607,077,565.82539,798,174.65514,193,403.3
        应收账款657,101,794.93607,077,565.82539,798,174.65514,193,403.3
  应收款项融资33,549,283.629,072,405.8440,803,136.0243,378,780.78
  预付款项17,763,107.9953,871,794.0232,731,662.4833,699,116.53
  其他应收款合计14,010,946.6310,909,720.3311,312,019.2322,393,811.51
  存货616,209,065.57557,251,171.73521,500,856.64532,134,299.55
  合同资产--00
  一年内到期的非流动资产--00
  其他流动资产75,553,923.0377,427,535.6399,967,351.6967,679,568.52
  流动资产合计2,385,806,139.222,442,463,163.142,415,427,298.892,230,422,788.22
非流动资产:
  发放委托贷款及垫款--00
  债权投资--00
  其他债权投资--00
  长期应收款--00
  其他非流动金融资产10,115,644.7910,135,644.7910,115,644.7924,450,280.87
  投资性房地产13,153,843.1113,653,304.4714,152,765.8314,652,227.19
  固定资产506,538,564.28377,421,548.08364,474,153.97368,571,749.1
  在建工程177,728,820.75275,923,730.59275,626,465.04206,455,726.53
  生产性生物资产--00
  油气资产--00
  使用权资产11,998,857.3219,535,463.1717,186,308.820,852,877.14
  无形资产363,478,206.07367,750,852.81300,692,492.83301,914,126.2
  开发支出--00
  商誉71,88471,88471,8840
  长期待摊费用16,463,296.065,737,205.088,831,875.518,741,531.99
  递延所得税资产20,628,807.6518,245,902.5815,547,308.3219,028,334.33
  其他非流动资产49,858,000.7668,217,840.4797,532,332.4367,262,196.1
  非流动资产合计1,170,035,924.791,156,693,376.041,104,231,231.521,031,929,049.45
  资产平衡项目-0.01000
  资产总计3,555,842,0643,599,156,539.183,519,658,530.413,262,351,837.67
流动负债:
  短期借款117,442,400115,769,60050,000,00050,000,000
  向中央银行借款--00
  吸收存款及同业存放--00
  拆入资金--00
  交易性金融负债--00
  衍生金融负债--00
  应付票据及应付账款730,396,447.44650,876,245.03693,924,699.55676,537,066.31
  其中:应付票据201,443,269.82118,175,572.34159,511,010.78257,929,029.05
        应付账款528,953,177.62532,700,672.69534,413,688.77418,608,037.26
  合同负债52,776,817.9258,162,623.7353,244,439.1959,542,699.2
  卖出回购金融资产款--00
  应付手续费及佣金--00
  应付职工薪酬40,173,093.3230,014,563.9459,527,030.642,807,639.99
  应交税费21,791,655.213,175,676.9616,710,978.1515,767,508.23
  其他应付款合计32,223,456.8329,738,044.5849,238,805.3323,275,634.74
  其中:应付利息--00
        应付股利--00
  应付分保账款--00
  保险合同准备金--00
  代理买卖证券款--00
  代理承销证券款--00
  一年内到期的非流动负债316,584,551.35309,085,685.28307,686,248.32109,778,536.01
  其他流动负债117,815,366.27221,281,618.27212,353,465.2971,285,607.99
  流动负债合计1,429,203,788.331,428,104,057.791,442,685,666.431,048,994,692.47
非流动负债:
  长期借款47,515,824.0526,791,933.5913,868,330200,000,000
  应付债券--00
  优先股--00
  永续债--00
  租赁负债5,872,154.6810,393,312.478,355,748.4616,551,755.81
  长期应付款--00
  长期应付职工薪酬--00
  预计负债3,487,571.313,165,191.543,176,946.342,071,450.01
  递延收益132,428,631.3134,071,514.13135,714,396.96137,357,279.79
  递延所得税负债5,549,537.825,594,792.296,120,066.137,862,029.34
  非流动负债合计194,853,719.16180,016,744.02167,235,487.89363,842,514.95
  负债合计1,624,057,507.491,608,120,801.811,609,921,154.321,412,837,207.42
所有者权益(或股东权益):
  实收资本(或股本)208,848,360208,848,360208,858,440208,858,440
  其他权益工具--00
  优先股--00
  永续债--00
  资本公积608,554,074.33608,703,546.33608,628,810.33608,596,739.07
  减:库存股50,218,502.6117,880,960.7617,965,776.7625,144,852
  其他综合收益-16,489,480.95-3,350,817.59-14,928,314.06-8,542,839.26
  专项储备--00
  盈余公积67,411,670.9567,411,670.9567,411,670.9553,445,206.74
  一般风险准备--00
  未分配利润1,113,678,434.791,127,303,938.441,057,732,545.631,012,301,935.7
  归属于母公司股东权益合计1,931,784,556.511,991,035,737.371,909,737,376.091,849,514,630.25
  股东权益合计1,931,784,556.511,991,035,737.371,909,737,376.091,849,514,630.25
  负债和股东权益合计3,555,842,0643,599,156,539.183,519,658,530.413,262,351,837.67
公告日期2025-08-282025-04-292025-04-182024-10-30
审计意见(境内)标准无保留意见
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