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德科立

(688205)

  

流通市值:157.79亿  总市值:157.79亿
流通股本:1.58亿   总股本:1.58亿

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731,845,534.46690,113,511.441,047,608,326.96947,256,971.17
  交易性金融资产450,712,158.89591,718,329.35260,825,065.45411,614,054.79
  应收票据及应收账款482,885,283.86462,074,389.57501,678,006.4459,813,607.24
  其中:应收票据236,628,491.35275,261,430.6279,429,966.32263,878,014.28
        应收账款246,256,792.51186,812,958.97222,248,040.08195,935,592.96
  应收款项融资11,683,821.6112,600,733.8212,702,460.9618,686,410.6
  预付款项7,180,252.797,532,071.643,487,232.77,253,175.02
  其他应收款合计1,545,230.512,137,161.772,260,092.682,194,523.19
  存货458,594,979.32415,927,531.05354,061,546.84372,562,260.03
  其他流动资产7,391,722.744,971,060.362,497,302.64992,966.52
  流动资产合计2,151,838,984.182,187,074,7892,185,120,034.632,220,373,968.56
非流动资产:
  长期股权投资6,017,477.446,180,307.76,382,740.027,161,339.37
  其他权益工具投资1,445,8501,445,8501,445,8501,445,850
  其他非流动金融资产76,597,30076,597,30076,597,30076,597,300
  固定资产298,779,753.33270,228,058.18260,499,631.36202,722,588.41
  在建工程85,409,906.0361,337,069.3557,278,874.291,278,342.81
  使用权资产2,462,602.632,746,749.073,030,895.513,315,041.95
  无形资产1,870,182.691,916,586.41,975,241.862,033,897.32
  长期待摊费用---1,050,262.63
  递延所得税资产17,555,708.3123,428,705.6222,169,592.2615,847,868.21
  其他非流动资产16,816,522.9418,293,076.65,938,867.9930,161,371.48
  非流动资产合计506,955,303.37462,173,702.92435,318,993.29341,613,862.18
  资产总计2,658,794,287.552,649,248,491.922,620,439,027.922,561,987,830.74
流动负债:
  短期借款---20,016,666.67
  应付票据及应付账款347,826,761.71327,121,977.56295,973,472.64273,342,930.77
  其中:应付票据102,382,739.3592,856,245.9995,014,505.3597,436,070.91
        应付账款245,444,022.36234,265,731.57200,958,967.29175,906,859.86
  合同负债18,908,316.3811,113,660.830,309,534.4719,900,163.86
  应付职工薪酬17,025,52731,044,595.6626,999,833.4822,882,174.9
  应交税费1,372,379.887,484,697.079,944,759.188,675,093.46
  其他应付款合计614,785.41481,745.161,990,496.271,010,660.69
  一年内到期的非流动负债1,128,809.77898,062.61,107,389.921,096,832.91
  其他流动负债1,029,207.07-1,107,422.46-
  流动负债合计387,905,787.22378,144,738.85367,432,908.42346,924,523.26
非流动负债:
  租赁负债1,172,900.411,679,156.481,742,711.572,023,549.53
  预计负债1,396,659.721,523,541.41,389,758.861,236,673.82
  递延收益6,099,481.666,842,707.447,585,933.223,923,299
  递延所得税负债24,133.8625,429.4927,119.129,198.93
  非流动负债合计8,693,175.6510,070,834.8110,745,522.757,212,721.28
  负债合计396,598,962.87388,215,573.66378,178,431.17354,137,244.54
所有者权益(或股东权益):
  实收资本(或股本)158,285,329120,892,825120,892,825120,892,825
  资本公积1,799,835,014.281,816,632,064.181,811,928,902.141,801,790,546.21
  其他综合收益5,195,018.61,915,363.652,384,759.672,279,545.77
  盈余公积43,483,999.943,483,999.943,483,999.934,836,128.39
  未分配利润255,395,962.9278,108,665.53263,570,110.04248,051,540.83
  归属于母公司股东权益合计2,262,195,324.682,261,032,918.262,242,260,596.752,207,850,586.2
  股东权益合计2,262,195,324.682,261,032,918.262,242,260,596.752,207,850,586.2
  负债和股东权益合计2,658,794,287.552,649,248,491.922,620,439,027.922,561,987,830.74
公告日期2025-08-292025-04-252025-04-252024-10-29
审计意见(境内)标准无保留意见
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