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科捷智能

(688455)

  

流通市值:20.28亿  总市值:28.25亿
流通股本:1.30亿   总股本:1.81亿

资产负债表

报告期2025-09-302025-06-302025-03-312024-12-31
公司类型通用通用通用通用
流动资产:
  货币资金281,320,949.31258,484,097.68260,411,092.71625,878,616.47
  交易性金融资产369,353,660.45313,045,808.6421,160,855.98229,665,340.75
  应收票据及应收账款406,631,459.95443,566,241449,847,655.12439,870,021.98
  其中:应收票据38,613,435.3523,612,126.8736,534,536.5722,451,920.13
        应收账款368,018,024.6419,954,114.13413,313,118.55417,418,101.85
  应收款项融资2,753,755.085,043,145.044,373,365.2618,622,650.46
  预付款项300,283,369.68190,759,215.67227,668,639.63104,258,289.67
  其他应收款合计25,213,270.6225,926,512.4126,227,407.4419,216,446.54
  存货1,626,779,545.191,222,979,663.07759,566,358.65743,511,083.36
  合同资产129,182,747.41129,645,875.22136,649,776.9138,927,737.34
  其他流动资产77,784,617.32107,672,912.6264,320,040.8125,546,121.45
  流动资产合计3,219,303,375.012,697,123,471.312,350,225,192.52,345,496,308.02
非流动资产:
  投资性房地产1,224,101.5---
  固定资产359,472,096.54266,744,344.42268,218,036.59270,192,524.11
  在建工程68,390,769.52151,273,963.66142,357,395.43125,879,197.5
  使用权资产2,607,957.052,877,253.253,353,099.473,376,604.34
  无形资产44,037,136.3744,351,747.4542,864,699.5442,917,665.2
  长期待摊费用625,930.99663,486.86701,042.72738,598.58
  递延所得税资产89,854,348.2280,223,880.174,014,418.7265,875,801.56
  其他非流动资产84,649,411.1684,192,232.7664,657,010.4756,727,197.12
  非流动资产合计650,861,751.35630,326,908.5596,165,702.94565,707,588.41
  资产总计3,870,165,126.363,327,450,379.812,946,390,895.442,911,203,896.43
流动负债:
  短期借款365,243,465.28350,232,222.22350,245,083.34220,172,638.89
  交易性金融负债---0
  应付票据及应付账款1,059,292,605.02885,018,331.81550,791,751.24735,478,754.38
  其中:应付票据258,921,731.87211,695,787.81147,014,706.25179,086,409.43
        应付账款800,370,873.15673,322,544403,777,044.99556,392,344.95
  合同负债1,249,198,126.87888,112,649.63866,445,123.66705,143,729.2
  应付职工薪酬53,457,493.2743,472,45931,477,533.746,518,235.98
  应交税费2,726,837.722,618,544.245,405,566.514,572,515.48
  其他应付款合计17,071,267.8612,877,421.1911,432,562.848,945,261.33
  一年内到期的非流动负债45,414,370.6225,910,800.1577,747,898.1376,401,767.27
  其他流动负债37,166,432.5825,492,38829,116,307.1814,627,128.38
  流动负债合计2,829,570,599.222,233,734,816.241,922,661,826.61,811,860,030.91
非流动负债:
  长期借款167,494,170.58197,398,883.8290,053,62545,000,000
  租赁负债1,013,601.44882,764.72922,952.68738,822.32
  预计负债4,895,371.66,177,762.347,414,869.0611,261,993.88
  非流动负债合计173,403,143.62204,459,410.8898,391,446.7457,000,816.2
  负债合计3,002,973,742.842,438,194,227.122,021,053,273.341,868,860,847.11
所有者权益(或股东权益):
  实收资本(或股本)180,849,167180,849,167180,849,167180,849,167
  资本公积906,074,285.11902,979,553.63899,971,755.52898,219,423.79
  减:库存股246,354,930.83242,766,631.76198,026,378.56122,720,317.04
  其他综合收益-53,602.93-596,314.75-68,052.17-72,728.86
  专项储备9,653,002.269,653,002.269,653,002.269,653,002.26
  盈余公积27,027,645.1627,027,645.1627,027,645.1627,027,645.16
  未分配利润-10,004,182.2512,109,731.155,930,482.8949,386,857.01
  归属于母公司股东权益合计867,191,383.52889,256,152.69925,337,622.11,042,343,049.32
  股东权益合计867,191,383.52889,256,152.69925,337,622.11,042,343,049.32
  负债和股东权益合计3,870,165,126.363,327,450,379.812,946,390,895.442,911,203,896.43
公告日期2025-10-302025-08-302025-04-262025-04-26
审计意见(境内)标准无保留意见
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