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思维列控

(603508)

  

流通市值:99.74亿  总市值:99.74亿
流通股本:3.81亿   总股本:3.81亿

资产负债表

报告期2025-09-302025-06-302025-03-312024-12-31
公司类型通用通用通用通用
流动资产:
  货币资金962,183,323.751,479,562,774.251,555,689,659.731,665,336,912.87
  交易性金融资产10,000,000130,000,000120,000,000-
  应收票据及应收账款697,825,970.93793,881,874.641,004,597,165.56994,156,413.82
  其中:应收票据63,760,488.6158,198,015.9964,091,272.7955,036,731.85
        应收账款634,065,482.32735,683,858.65940,505,892.77939,119,681.97
  应收款项融资52,919,490.3527,814,025.4466,084,902.5875,970,483.63
  预付款项5,828,035.197,036,828.539,645,850.915,760,896.54
  其他应收款合计16,754,715.0318,832,040.122,299,492.0218,467,848.45
  存货455,643,324.03407,805,075.33387,557,683.88402,104,810.4
  合同资产64,956,427.7355,825,051.4155,200,356.0343,837,451.23
  其他流动资产17,021,155.9114,112,635.888,233,158.344,479,348.72
  流动资产合计2,283,132,442.922,934,870,305.583,229,308,269.053,210,114,165.66
非流动资产:
  其他权益工具投资3,611,304.763,611,304.763,611,304.763,611,304.76
  投资性房地产212,171,864.25216,983,778.34221,758,464.53226,538,656.81
  固定资产269,745,628.39270,436,114.42276,667,114.38282,065,522.16
  在建工程-476,587.02156,880.73342,600
  无形资产54,192,572.3754,498,252.0555,381,908.2756,186,074.17
  商誉1,391,483,923.951,391,483,923.951,391,483,923.951,391,483,923.95
  长期待摊费用1,464,346.1580,601.33450,037.2494,060.53
  递延所得税资产25,929,092.4526,216,960.7729,739,582.4626,189,652.51
  其他非流动资产48,246,327.7851,286,959.0948,217,308.3748,956,885.54
  非流动资产合计2,006,845,060.052,015,574,481.732,027,466,524.652,035,868,680.43
  资产总计4,289,977,502.974,950,444,787.315,256,774,793.75,245,982,846.09
流动负债:
  短期借款31,074,129.19-15,000,00016,841,363.75
  应付票据及应付账款144,948,814.15139,323,575.71144,137,080.44171,372,539.33
  其中:应付票据6,564,637.493,759,130.3414,890,598.5127,775,778.01
        应付账款138,384,176.66135,564,445.37129,246,481.93143,596,761.32
  预收款项662,584.77681,820.47665,129.37702,545.37
  合同负债51,732,486.432,043,043.0236,326,120.822,213,086.68
  应付职工薪酬25,405,831.0223,223,070.3223,200,003.4977,578,585.17
  应交税费27,093,549.8238,580,046.3858,996,170.67108,876,547.54
  其他应付款合计8,058,733.798,043,685.427,728,032.4410,832,086.55
  其他流动负债9,891,363.511,723,647.483,188,761.31913,810.5
  流动负债合计298,867,492.64253,618,888.8289,241,298.52409,330,564.89
非流动负债:
  预计负债6,083,255.458,824,333.468,360,042.219,058,179.52
  递延收益---5,466.97
  递延所得税负债4,199,108.644,290,369.744,469,768.563,813,471.61
  非流动负债合计10,282,364.0913,114,703.212,829,810.7712,877,118.1
  负债合计309,149,856.73266,733,592302,071,109.29422,207,682.99
所有者权益(或股东权益):
  实收资本(或股本)381,274,377381,274,377381,274,377381,274,377
  资本公积2,326,826,964.892,326,826,964.892,326,826,964.892,326,826,964.89
  其他综合收益-38,497,673.56-38,037,295.17-38,349,886.73-38,335,744.1
  专项储备3,112,135.072,978,162.792,079,534.031,368,759.98
  盈余公积190,637,188.5190,637,188.5190,637,188.5190,637,188.5
  未分配利润982,268,176.671,690,031,717.741,966,354,879.141,839,544,574.12
  归属于母公司股东权益合计3,845,621,168.574,553,711,115.754,828,823,056.834,701,316,120.39
  少数股东权益135,206,477.67130,000,079.56125,880,627.58122,459,042.71
  股东权益合计3,980,827,646.244,683,711,195.314,954,703,684.414,823,775,163.1
  负债和股东权益合计4,289,977,502.974,950,444,787.315,256,774,793.75,245,982,846.09
公告日期2025-10-312025-08-062025-04-292025-04-12
审计意见(境内)标准无保留意见
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