当前位置:首页 - 行情中心 - *ST原尚(603813) - 财务分析 - 资产负债表

*ST原尚

(603813)

  

流通市值:38.74亿  总市值:38.74亿
流通股本:1.05亿   总股本:1.05亿

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65,633,336.2369,723,530.1472,341,422.22116,050,201.79
  应收票据及应收账款184,484,176.06183,850,649.81146,044,431.34109,653,910.08
  其中:应收票据6,540,628.846,837,888.832,220,960.2716,422,063.71
        应收账款177,943,547.22177,012,760.98143,823,471.0793,231,846.37
  应收款项融资4,168,135.73,321,882.484,667,014.75,650,042.74
  预付款项6,663,616.177,378,175.498,813,249.6110,981,692.26
  其他应收款合计26,281,214.3824,511,437.3622,192,874.5321,625,057.72
  存货4,829,425.494,398,348.713,038,991.054,123,513.83
  其他流动资产42,529,877.6138,514,816.2623,223,709.8721,603,703.44
  流动资产合计334,589,781.64331,698,840.25280,321,693.32289,688,121.86
非流动资产:
  长期股权投资3,028,610.153,218,126.863,361,097.793,664,358.87
  投资性房地产8,074,596.438,191,097.29753,272.89773,748.49
  固定资产371,699,247.39380,954,272.13364,547,653.97372,979,088.5
  在建工程175,185,661.67164,095,904.1351,078,902.8850,206,280.09
  使用权资产473,164,664.75481,815,650.94496,274,153.46505,755,114.52
  无形资产52,106,290.1852,462,475.1152,818,660.0453,174,844.97
  长期待摊费用100,526,190.65102,667,426.89104,845,120.69107,020,090.46
  递延所得税资产36,989.8750,283.4827,000.3224,018.04
  其他非流动资产--23,996.0135,993.88
  非流动资产合计1,183,822,251.091,193,455,236.831,073,729,858.051,093,633,537.82
  资产总计1,518,412,032.731,525,154,077.081,354,051,551.371,383,321,659.68
流动负债:
  短期借款93,089,776.8995,079,25095,005,129.885,623,118.95
  应付票据及应付账款141,670,399.76171,755,022.5688,962,768.97109,817,501.16
        应付账款141,670,399.76171,755,022.5688,962,768.97109,817,501.16
  预收款项6,734,403.436,495,519.546,765,315.456,566,553.15
  合同负债1,901,593.031,843,426.351,841,370.981,790,343.14
  应付职工薪酬7,278,381.986,649,980.966,563,869.865,710,413.76
  应交税费2,951,178.273,156,568.735,915,406.64,784,098.26
  其他应付款合计47,921,888.5448,456,638.0718,071,305.3518,033,261.85
  一年内到期的非流动负债30,347,760.6130,749,701.6220,207,972.5119,318,504.42
  其他流动负债13,482,108.3815,511,406.55268,002.69279,949.88
  流动负债合计345,377,490.89379,697,514.38243,601,142.21251,923,744.57
非流动负债:
  长期借款96,328,032.6940,301,567.8--
  租赁负债561,386,749.49568,486,771.31569,761,226.9573,962,864.67
  长期应付款28,353,520.5628,378,554.28182,362.23-
  预计负债104,569.02104,569.02--
  递延所得税负债86,532.1562,913.23--
  非流动负债合计686,259,403.91637,334,375.64569,943,589.13573,962,864.67
  负债合计1,031,636,894.81,017,031,890.02813,544,731.34825,886,609.24
所有者权益(或股东权益):
  实收资本(或股本)105,015,000105,015,000105,015,000105,015,000
  资本公积394,921,911.37394,921,911.37394,921,911.37394,921,911.37
  减:库存股10,009,294.9210,009,294.9210,009,294.9210,009,294.92
  专项储备222,349.61167,633.84202,589.13212,178.94
  盈余公积37,223,039.4537,223,039.4537,223,039.4537,223,039.45
  未分配利润-31,214,649.92-11,313,511.4318,128,469.4431,361,489.86
  归属于母公司股东权益合计496,158,355.59516,004,778.31545,481,714.47558,724,324.7
  少数股东权益-9,383,217.66-7,882,591.25-4,974,894.44-1,289,274.26
  股东权益合计486,775,137.93508,122,187.06540,506,820.03557,435,050.44
  负债和股东权益合计1,518,412,032.731,525,154,077.081,354,051,551.371,383,321,659.68
公告日期2026-04-302026-04-222025-10-282025-08-23
审计意见(境内)标准无保留意见
TOP↑