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睿创微纳

(688002)

  

流通市值:611.56亿  总市值:611.56亿
流通股本:4.66亿   总股本:4.66亿

资产负债表

报告期2025-12-312025-09-302025-06-302025-03-31
公司类型通用通用通用通用
流动资产:
  货币资金1,028,351,273.42941,210,411.75457,498,354.61794,389,587.79
  交易性金融资产386,068,152.78420,538,722.22616,765,891.67403,842,416.62
  应收票据及应收账款1,484,127,044.321,629,444,966.781,523,692,157.551,428,319,355.36
  其中:应收票据76,756,337.0387,373,216.971,268,251.14133,348,456.54
        应收账款1,407,370,707.291,542,071,749.881,452,423,906.411,294,970,898.82
  应收款项融资29,770,730.7818,977,830.9813,500,570.717,089,541.45
  预付款项226,453,297.93232,231,369.16259,190,178.95218,109,127.25
  其他应收款合计12,534,995.4513,502,932.3812,993,557.4815,589,106.01
  存货1,918,684,677.062,121,309,042.761,962,354,524.411,839,137,133.8
  合同资产7,767,610.3510,154,200.689,515,579.255,548,427.66
  一年内到期的非流动资产647,683,349.3---
  其他流动资产778,493,321.34257,032,705.84270,573,291.74313,204,834.86
  流动资产合计6,519,934,452.735,644,402,182.555,126,084,106.375,025,229,530.8
非流动资产:
  其他债权投资341,497,652.78839,100,868.02812,783,742.44633,466,298.57
  长期股权投资189,313,361.27166,530,316.01163,720,027.31184,722,879.06
  其他权益工具投资146,795,699.44148,899,707.92148,899,707.92148,899,707.92
  其他非流动金融资产63,665,398.0880,880,031.1280,880,031.1280,917,472.42
  投资性房地产38,689,836.3139,408,529.4340,096,156.434,851,645.07
  固定资产1,985,990,449.061,877,254,062.841,882,679,170.961,913,757,703.99
  在建工程194,116,350.35147,433,571.18120,942,878.3694,516,154.61
  使用权资产37,079,068.9736,247,455.9930,711,464.6825,827,328.93
  无形资产220,096,112.62217,256,001.13220,672,387.16228,547,914.74
  商誉137,931,032.53137,931,032.53137,931,032.53137,931,032.53
  长期待摊费用15,228,423.1913,556,880.8514,347,806.2515,066,996.87
  递延所得税资产360,398,259.86317,319,451.97315,328,030.27328,652,091.78
  其他非流动资产259,382,831.46255,525,496.91248,806,514.34231,792,552.62
  非流动资产合计3,990,184,475.924,277,343,405.94,217,798,949.744,058,949,779.11
  资产总计10,510,118,928.659,921,745,588.459,343,883,056.119,084,179,309.91
流动负债:
  短期借款20,015,277.77146,616,376.39212,640,862.49198,042,361.11
  应付票据及应付账款1,388,804,174.551,216,031,332.721,205,053,759.811,072,261,788.39
  其中:应付票据407,185,881.9302,098,226.16384,051,989.01367,594,338.88
        应付账款981,618,292.65913,933,106.56821,001,770.8704,667,449.51
  合同负债327,040,647.84319,551,023.68163,238,339.9152,078,456.88
  应付职工薪酬258,176,086.83154,872,924.7120,413,682.53196,942,465.95
  应交税费72,348,868.0248,832,977.2848,811,734.2962,470,337.61
  其他应付款合计13,499,900.4212,678,549.3548,021,401.9324,155,387.78
        应付股利--35,895,913.2-
  一年内到期的非流动负债13,131,471.8910,094,965.8411,534,225.418,937,844.58
  其他流动负债23,277,421.0544,768,012.9130,711,645.543,986,120.21
  流动负债合计2,116,293,848.371,953,446,162.871,840,425,651.861,758,874,762.51
非流动负债:
  长期借款31,759,396.6740,240,00040,296,806.939,000,000
  应付债券1,364,325,263.541,364,400,646.861,349,579,611.161,335,166,644.88
  租赁负债18,213,377.723,327,095.2814,827,872.3512,953,565.56
  预计负债50,441,334.938,778,405.2437,788,313.7944,078,437.35
  递延收益215,076,016.76154,683,129.17152,960,023.95145,547,318.36
  递延所得税负债78,323,490.1785,790,60882,718,481.7975,636,787.19
  非流动负债合计1,758,138,879.741,707,219,884.551,678,171,109.971,622,382,753.34
  负债合计3,874,432,728.113,660,666,047.423,518,596,761.833,381,257,515.85
所有者权益(或股东权益):
  实收资本(或股本)460,238,278460,237,717456,962,515454,922,777
  其他权益工具212,401,506.09212,404,686.16212,405,828.09210,810,079.19
  资本公积2,700,372,729.312,685,583,832.922,548,105,333.072,568,281,021.25
  减:库存股300,280,067.77300,280,067.77300,280,067.77300,280,067.77
  其他综合收益7,386,312.498,727,395.519,752,876.499,596,608.49
  专项储备1,811,847.821,798,737.031,823,039.542,369,339.82
  盈余公积231,835,515.38200,031,989.96200,031,989.96200,031,989.96
  未分配利润3,338,403,295.772,952,075,934.652,632,480,583.322,463,454,407.4
  归属于母公司股东权益合计6,652,169,417.096,220,580,225.465,761,282,097.75,609,186,155.34
  少数股东权益-16,483,216.5540,499,315.5764,004,196.5893,735,638.72
  股东权益合计6,635,686,200.546,261,079,541.035,825,286,294.285,702,921,794.06
  负债和股东权益合计10,510,118,928.659,921,745,588.459,343,883,056.119,084,179,309.91
公告日期2026-04-102025-10-282025-08-292025-04-25
审计意见(境内)标准无保留意见
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