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灿瑞科技

(688061)

  

流通市值:39.27亿  总市值:39.27亿
流通股本:1.15亿   总股本:1.15亿

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947,838,346.2815,587,180.48637,542,155.9563,817,199.72
  交易性金融资产511,138,500.55651,620,204.38833,060,958.63929,851,798.63
  应收票据及应收账款242,598,540281,272,117.61255,953,548.9217,425,969
  其中:应收票据56,001,001.1256,456,399.5642,702,988.319,627,801.46
        应收账款186,597,538.88224,815,718.05213,250,560.6197,798,167.54
  应收款项融资34,405,318.8534,861,774.9432,222,595.4645,228,654.48
  预付款项7,505,590.0510,084,328.6210,806,958.1210,209,196.42
  其他应收款合计18,063,773.8325,654,730.2427,503,425.9827,866,987
  存货163,983,989.7195,470,037.74172,354,297.42151,178,132.73
  其他流动资产18,950,574.4919,962,705.7118,352,409.9217,789,060.63
  流动资产合计1,944,484,633.672,034,513,079.721,987,796,350.331,963,366,998.61
非流动资产:
  其他非流动金融资产22,997,951.873,000,0003,000,000-
  投资性房地产13,392,451.7913,728,131.5714,063,811.3514,399,491.13
  固定资产239,796,849.24239,457,246.96237,492,863.37240,633,732.67
  在建工程147,289,981.35108,945,029.876,814,895.2143,623,042.4
  使用权资产6,431,238.167,350,648.268,570,841.311,383,746.65
  无形资产302,029,082.64303,484,130.9305,273,838.2307,299,708.35
  商誉26,828,698.3426,828,698.3426,828,698.3426,828,698.34
  长期待摊费用1,610,402.792,588,878.783,073,610.543,589,981.8
  递延所得税资产21,178,052.7121,284,986.3619,660,684.1721,376,857.67
  其他非流动资产1,085,409.66,582,657.786,862,238.44,341,619.25
  非流动资产平衡项目00.0100
  非流动资产合计782,640,118.49733,250,408.76701,641,480.88673,476,878.26
  资产总计2,727,124,752.162,767,763,488.482,689,437,831.212,636,843,876.87
流动负债:
  短期借款46,797,944.6535,342,575.046,677,253.241,349,549.14
  应付票据及应付账款170,392,249.87215,464,739.21155,270,539.84102,441,162.06
  其中:应付票据47,854,980.2554,023,280.2534,453,34913,925,049
        应付账款122,537,269.62161,441,458.96120,817,190.8488,516,113.06
  预收款项--0-
  合同负债9,666,751.044,323,384.034,966,556.014,463,336.91
  应付职工薪酬22,099,666.5419,045,780.1617,992,701.8811,836,920.86
  应交税费2,772,094.193,417,780.582,027,835.421,834,909.23
  其他应付款合计8,773,864.46,911,910.7912,726,845.0813,504,382.03
  一年内到期的非流动负债5,122,167.194,997,439.364,727,912.675,897,075.97
  其他流动负债25,987,907.4414,319,886.6515,848,146.620,198,043.13
  流动负债合计291,612,645.32303,823,495.82220,237,790.74161,525,379.33
非流动负债:
  长期借款44,920,00036,017,55036,017,550-
  租赁负债1,525,808.232,712,786.093,621,852.495,488,700.16
  递延收益43,324,483.4744,515,763.3343,658,134.0936,350,021.57
  递延所得税负债---2,071,905.1
  非流动负债合计89,770,291.783,246,099.4283,297,536.5843,910,626.83
  负债合计381,382,937.02387,069,595.24303,535,327.32205,436,006.16
所有者权益(或股东权益):
  实收资本(或股本)114,889,391114,889,391114,889,391114,889,391
  资本公积2,075,310,548.222,099,317,864.432,093,242,151.62,087,166,438.77
  减:库存股89,586,910.3100,011,124.56100,011,124.5660,332,973.4
  其他综合收益265,474.61395,066.91,026,642.92-410,570.99
  盈余公积36,126,626.2636,126,626.2636,126,626.2636,126,626.26
  未分配利润208,736,685.35229,976,069.21240,628,816.67253,968,959.07
  归属于母公司股东权益合计2,345,741,815.142,380,693,893.242,385,902,503.892,431,407,870.71
  股东权益合计2,345,741,815.142,380,693,893.242,385,902,503.892,431,407,870.71
  负债和股东权益合计2,727,124,752.162,767,763,488.482,689,437,831.212,636,843,876.87
公告日期2026-04-252025-10-302025-08-302025-04-30
审计意见(境内)标准无保留意见
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