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三孚新科

(688359)

  

流通市值:69.41亿  总市值:69.41亿
流通股本:9775.91万   总股本:9775.91万

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64,871,438.26127,977,012.9343,354,089.8868,428,285.25
  交易性金融资产28,126,456.7227,126,456.7217,126,456.728,300,000
  应收票据及应收账款361,149,853.65381,295,401.31390,717,942340,329,836.23
  其中:应收票据47,489,252.9544,497,557.947,464,861.8937,731,575.32
        应收账款313,660,600.7336,797,843.41343,253,080.11302,598,260.91
  应收款项融资49,934,559.4243,730,437.8146,957,781.2434,523,285.82
  预付款项4,959,846.76394,948.327,469,091.42,524,994.14
  其他应收款合计61,535,614.3817,350,667.2719,545,257.3129,415,785.08
  存货139,384,637.33119,491,807.25106,495,217.47140,551,264.72
  合同资产13,525,808.465,620,55515,370,712.0720,482,502.72
  其他流动资产9,023,944.976,165,079.217,214,327.766,319,242.54
  流动资产合计732,512,159.95729,152,365.82654,250,875.85650,875,196.5
非流动资产:
  长期股权投资6,816,495.2818,966,966.348,403,189.747,969,430.3
  固定资产244,875,891.46253,199,730.14257,951,807.62261,980,190.85
  在建工程1,957,375.11,268,695.851,555,455.724,478,790.25
  使用权资产3,987,070.914,495,210.084,851,635.415,816,473.61
  无形资产172,341,539.73175,917,326.74178,307,308.94181,563,324.16
  商誉104,021,553.27104,021,553.27104,021,553.27104,021,553.27
  长期待摊费用678,074.161,025,637.36902,513.941,052,812.03
  递延所得税资产76,406,852.7874,269,774.2260,034,080.2257,878,606.48
  其他非流动资产8,288,885.25,142,473.61,056,678.85755,871.21
  非流动资产合计619,373,737.89638,307,367.6617,084,223.71625,517,052.16
  资产总计1,351,885,897.841,367,459,733.421,271,335,099.561,276,392,248.66
流动负债:
  短期借款134,261,620.57203,179,148.93251,236,006.89249,400,322.99
  应付票据及应付账款100,276,090.5780,560,418.4687,624,890.8292,436,025.84
        应付账款100,276,090.5780,560,418.4687,624,890.8292,436,025.84
  合同负债27,010,767.1714,310,337.497,954,474.4819,573,324.56
  应付职工薪酬13,608,136.2612,274,801.2618,262,769.6511,223,251.37
  应交税费46,087,253.1512,263,904.7916,649,674.914,661,410.64
  其他应付款合计7,354,858.9711,186,794.0711,444,154.1210,741,216.62
  一年内到期的非流动负债85,668,477.23118,685,157.48113,048,227.52103,310,800.09
  其他流动负债17,476,011.9616,294,534.6914,386,813.9812,279,682.65
  流动负债合计431,743,215.88468,755,097.17520,607,012.36513,626,034.76
非流动负债:
  长期借款114,764,633.2354,303,867.9331,578,867.9357,710,597.63
  租赁负债3,021,111.273,818,277.783,705,035.745,116,350.55
  长期应付款6,006,365.5730,428,625.1135,279,381.9753,475,985.4
  递延收益7,962,254.297,834,254.297,936,254.297,945,121.48
  递延所得税负债25,103,663.5525,866,069.3426,441,810.8927,715,056.22
  其他非流动负债85,692.2185,652.7185,652.7185,493.9
  非流动负债合计156,943,720.12122,336,747.16105,027,003.53152,048,605.18
  负债合计588,686,936591,091,844.33625,634,015.89665,674,639.94
所有者权益(或股东权益):
  实收资本(或股本)97,759,05096,579,65093,573,58492,994,600
  资本公积462,272,815.1446,187,661.29327,351,507.52303,129,042.89
  其他综合收益-45,284.99-32,822.14-13,529.04-5,977.5
  盈余公积15,306,511.2515,306,511.2515,306,511.2515,306,511.25
  未分配利润49,941,088.5677,658,219.4472,251,609.5567,879,154.41
  归属于母公司股东权益合计625,234,179.92635,699,219.84508,469,683.28479,303,331.05
  少数股东权益137,964,781.92140,668,669.25137,231,400.39131,414,277.67
  股东权益合计763,198,961.84776,367,889.09645,701,083.67610,717,608.72
  负债和股东权益合计1,351,885,897.841,367,459,733.421,271,335,099.561,276,392,248.66
公告日期2025-08-262025-04-292025-04-252024-10-30
审计意见(境内)标准无保留意见
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