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景津装备

(603279)

  

流通市值:84.84亿  总市值:84.84亿
流通股本:5.76亿   总股本:5.76亿

资产负债表

报告期2026-03-312025-12-312025-09-302025-06-30
公司类型通用通用通用通用
流动资产:
  货币资金2,042,650,090.292,061,479,845.31,991,253,433.131,787,077,152.33
  交易性金融资产140,485,341.551,423,962.9151,029,767.12100,533,677.95
  应收票据及应收账款788,059,606.42772,828,286.94903,602,052.551,011,115,480.6
  其中:应收票据175,124,167.9743,180,382.25117,564,331.22137,858,131.29
        应收账款612,935,438.45729,647,904.69786,037,721.33873,257,349.31
  应收款项融资96,229,660.95164,817,891.19192,124,973.4118,164,871.09
  预付款项157,526,826.642,512,601.87110,192,378.4299,101,872.15
  其他应收款合计33,354,542.840,077,075.8645,057,029.4346,000,954.79
  存货2,417,816,158.842,363,645,840.342,731,588,119.582,668,382,470.88
  合同资产88,541,390.79102,400,754.596,291,975.47101,413,642.79
  其他流动资产-64,356,40064,100,00067,792,309.4
  流动资产合计5,764,663,618.195,663,542,658.96,285,239,729.15,999,582,431.98
非流动资产:
  固定资产2,280,033,966.672,327,763,685.892,231,780,209.642,231,119,024.42
  在建工程172,654,116.5377,242,472.0547,836,320.64138,347,899.78
  使用权资产420,036.31469,660.03495,648.16702,433.09
  无形资产345,445,071.69346,716,013.01348,088,532.28350,577,950.82
  递延所得税资产130,234,462.23132,474,955.17131,872,025.85129,686,538.37
  其他非流动资产71,503,457.91112,432,129.19209,887,124.08125,754,464.9
  非流动资产合计3,000,291,111.342,997,098,915.342,969,959,860.652,976,188,311.38
  资产总计8,764,954,729.538,660,641,574.249,255,199,589.758,975,770,743.36
流动负债:
  短期借款200,134,444.44200,146,666.67200,133,333.33200,133,333.33
  应付票据及应付账款822,530,577.28807,976,722.54977,963,703.41908,072,373.58
  其中:应付票据210,000,000368,670,000418,680,000332,000,000
        应付账款612,530,577.28439,306,722.54559,283,703.41576,072,373.58
  合同负债2,484,772,253.082,464,430,795.812,625,786,158.62,547,271,582.3
  应付职工薪酬221,232,415.6336,499,155.97282,462,404.72258,015,070.32
  应交税费63,616,927.7174,154,910.0937,141,388.4260,878,713.21
  其他应付款合计10,797,392.2617,407,248.1520,624,684.6415,299,618.33
  一年内到期的非流动负债174,336.35171,292.8780,221,630.3180,218,880.87
  其他流动负债194,816,119.49112,543,285.67174,898,610.99153,532,615.23
  流动负债合计3,998,074,466.214,013,330,077.774,399,231,914.424,223,422,187.17
非流动负债:
  长期借款-0--
  租赁负债-0--
  递延收益55,481,330.4856,665,553.0458,189,232.4659,208,128.58
  递延所得税负债69,677,999.171,968,026.5577,282,755.9979,684,490.02
  非流动负债合计125,159,329.58128,633,579.59135,471,988.45138,892,618.6
  负债合计4,123,233,795.794,141,963,657.364,534,703,902.874,362,314,805.77
所有者权益(或股东权益):
  实收资本(或股本)576,373,000576,373,000576,373,000576,457,000
  资本公积1,422,221,375.271,422,221,375.271,420,666,976.171,420,666,976.17
  减:库存股-00-
  专项储备36,195,631.5436,618,561.0436,955,791.7737,295,476.13
  盈余公积288,267,700288,267,700288,267,700288,267,700
  未分配利润2,318,663,226.932,195,197,280.572,398,232,218.942,290,768,785.29
  归属于母公司股东权益合计4,641,720,933.744,518,677,916.884,720,495,686.884,613,455,937.59
  股东权益合计4,641,720,933.744,518,677,916.884,720,495,686.884,613,455,937.59
  负债和股东权益合计8,764,954,729.538,660,641,574.249,255,199,589.758,975,770,743.36
公告日期2026-04-292026-04-242025-10-302025-08-27
审计意见(境内)标准无保留意见
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