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泰瑞机器

(603289)

  

流通市值:30.95亿  总市值:30.95亿
流通股本:2.93亿   总股本:2.93亿

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760,256,199.31862,122,552.1826,148,134.16867,161,747.25
  交易性金融资产2,578,239.812,381,746.0451,205,657.3171,272,189.02
  应收票据及应收账款507,986,979.18527,873,353.03430,529,991.36495,706,075.44
  其中:应收票据4,555,861.86,475,949.5310,338,648.3911,601,178.45
        应收账款503,431,117.38521,397,403.5420,191,342.97484,104,896.99
  应收款项融资20,767,352.555,410,368.173,306,710.348,023,565.25
  预付款项10,787,370.059,571,819.224,225,538.827,710,642.11
  其他应收款合计2,493,556.567,527,215.813,254,823.966,208,043.56
  存货407,740,279.3379,411,121.08378,829,473.13311,305,751.01
  合同资产75,035,989.4870,329,915.9477,660,955.1615,427,023.94
  其他流动资产63,173,570.570,985,666.8770,920,701.9950,872,153.53
  流动资产合计1,850,819,536.741,935,613,758.261,846,081,986.231,833,687,191.11
非流动资产:
  其他非流动金融资产18,770,80018,770,80018,770,80020,000,000
  投资性房地产16,285,881.3316,711,967.7317,138,054.1617,665,479.56
  固定资产879,321,540.33884,768,008.39898,976,493.32681,115,539.99
  在建工程1,678,237.395,036,447.315,045,434.59198,379,450.63
  无形资产154,577,859.35154,862,581.45154,294,941.03163,264,590.02
  长期待摊费用4,532,641.74,479,049.494,765,147.194,576,055.3
  递延所得税资产12,651,001.2213,162,531.7610,863,557.9712,416,283.34
  其他非流动资产3,063,875.954,097,896.954,185,991.566,223,015.59
  非流动资产合计1,090,881,837.271,101,889,283.081,114,040,419.821,103,640,414.43
  资产总计2,941,701,374.013,037,503,041.342,960,122,406.052,937,327,605.54
流动负债:
  短期借款506,000,000558,000,000451,860,070.6586,860,070.6
  交易性金融负债279,790.1336,098.561,010,558.88-
  应付票据及应付账款528,077,795.61558,642,072.15600,652,834.13492,337,221.49
  其中:应付票据243,073,737.23254,619,851.26162,482,356.4109,299,854.59
        应付账款285,004,058.38304,022,220.89438,170,477.73383,037,366.9
  预收款项647,669.5-1,380,073.51-
  合同负债45,532,790.4660,129,373.8554,005,086.454,466,864.27
  应付职工薪酬18,083,826.0417,577,081.2626,567,707.8122,986,552.6
  应交税费21,872,502.8818,603,045.3120,694,727.9716,044,529.84
  其他应付款合计6,335,822.027,322,385.0410,793,817.6811,845,596.81
  其他流动负债2,384,863.578,441,077.4113,875,929.982,570,690.54
  流动负债合计1,129,215,060.181,229,051,133.581,180,840,806.961,187,111,526.15
非流动负债:
  应付债券335,385,462.62332,183,050.11329,015,828.95325,778,225.09
  递延收益22,861,735.723,318,213.0821,304,690.4621,776,637.43
  非流动负债合计358,247,198.32355,501,263.19350,320,519.41347,554,862.52
  负债合计1,487,462,258.51,584,552,396.771,531,161,326.371,534,666,388.67
所有者权益(或股东权益):
  实收资本(或股本)293,221,200293,221,200293,221,200294,298,821
  其他权益工具10,801,117.4810,801,117.4810,801,117.4812,707,197.04
  资本公积461,671,403.73461,671,403.73461,671,403.73466,453,714.83
  减:库存股---5,859,932.1
  其他综合收益-831,151.52-7,740,307.73-13,716,849.29-3,602,000.68
  盈余公积113,050,418.03113,050,418.03113,050,418.03102,450,077.04
  未分配利润576,326,127.79581,946,813.06563,933,789.73536,213,339.74
  归属于母公司股东权益合计1,454,239,115.511,452,950,644.571,428,961,079.681,402,661,216.87
  股东权益合计1,454,239,115.511,452,950,644.571,428,961,079.681,402,661,216.87
  负债和股东权益合计2,941,701,374.013,037,503,041.342,960,122,406.052,937,327,605.54
公告日期2025-08-302025-04-302025-04-262024-10-31
审计意见(境内)标准无保留意见
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