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景津装备

(603279)

  

流通市值:92.45亿  总市值:92.46亿
流通股本:5.76亿   总股本:5.76亿

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1,787,077,152.331,821,344,633.181,723,046,566.251,798,535,242.02
  交易性金融资产100,533,677.95100,322,384.6650,322,384.66-
  应收票据及应收账款1,011,115,480.6974,204,495.591,035,402,711.091,039,522,129.56
  其中:应收票据137,858,131.29109,390,021162,848,038.15178,496,544.29
        应收账款873,257,349.31864,814,474.59872,554,672.94861,025,585.27
  应收款项融资118,164,871.09176,746,952.4394,302,275.67247,584,078.92
  预付款项99,101,872.15123,506,768.0321,769,366.3139,827,299.13
  其他应收款合计46,000,954.7939,933,705.4850,452,913.435,419,870.57
  存货2,668,382,470.882,571,785,755.362,566,018,245.572,555,868,324.28
  合同资产101,413,642.7981,232,943.5388,430,040.42152,902,631.7
  其他流动资产67,792,309.463,472,348.3266,428,111.577,040,678.44
  流动资产合计5,999,582,431.985,952,549,986.585,696,172,614.866,046,700,254.62
非流动资产:
  固定资产2,231,119,024.422,253,890,867.392,276,113,969.892,037,796,421.34
  在建工程138,347,899.7847,727,874.02136,330,644.02107,887,280.72
  使用权资产702,433.09909,218.021,116,002.951,228,084.83
  无形资产350,577,950.82308,091,198.36308,495,762.45310,752,864.14
  递延所得税资产129,686,538.37137,861,850.58128,281,177.8126,811,996.52
  其他非流动资产125,754,464.9188,973,597.24126,021,439.64252,719,883.15
  非流动资产合计2,976,188,311.382,937,454,605.612,976,358,996.752,837,196,530.7
  资产总计8,975,770,743.368,890,004,592.198,672,531,611.618,883,896,785.32
流动负债:
  短期借款200,133,333.33200,146,666.67200,146,666.67300,200,000
  应付票据及应付账款908,072,373.58753,948,248.05559,931,726.9569,103,293.13
  其中:应付票据332,000,000212,000,00080,000,00030,000,000
        应付账款576,072,373.58541,948,248.05479,931,726.9539,103,293.13
  合同负债2,547,271,582.32,601,890,477.782,615,853,486.282,572,969,076.74
  应付职工薪酬258,015,070.32219,878,981.01311,208,112.5282,755,423.46
  应交税费60,878,713.2185,502,354.94100,695,285.4183,538,902.59
  其他应付款合计15,299,618.3369,790,653.8265,758,00767,849,974.56
  一年内到期的非流动负债80,218,880.8720,335,905.3120,253,266.42722,093.51
  其他流动负债153,532,615.23100,838,632.81127,672,069.32205,325,258.79
  流动负债合计4,223,422,187.174,052,331,920.394,001,518,620.54,082,464,022.78
非流动负债:
  长期借款-70,000,00070,000,000-
  租赁负债-177,745.32171,292.86126,962.85
  递延收益59,208,128.5851,228,911.7752,249,694.9648,770,478.15
  递延所得税负债79,684,490.0282,101,043.1484,502,777.1695,618,206.51
  非流动负债合计138,892,618.6203,507,700.23206,923,764.98144,515,647.51
  负债合计4,362,314,805.774,255,839,620.624,208,442,385.484,226,979,670.29
所有者权益(或股东权益):
  实收资本(或股本)576,457,000576,457,000576,457,000576,457,000
  资本公积1,420,666,976.171,420,783,602.441,417,196,378.421,415,653,608.63
  减:库存股-49,207,176.7849,207,176.7852,445,001.94
  专项储备37,295,476.1337,611,152.6437,971,816.0738,335,470.78
  盈余公积288,267,700288,267,700288,267,700288,267,700
  未分配利润2,290,768,785.292,360,252,693.272,193,403,508.422,390,648,337.56
  归属于母公司股东权益合计4,613,455,937.594,634,164,971.574,464,089,226.134,656,917,115.03
  股东权益合计4,613,455,937.594,634,164,971.574,464,089,226.134,656,917,115.03
  负债和股东权益合计8,975,770,743.368,890,004,592.198,672,531,611.618,883,896,785.32
公告日期2025-08-272025-04-292025-04-232024-10-29
审计意见(境内)标准无保留意见
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