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源杰科技

(688498)

  

流通市值:1332.81亿  总市值:1350.24亿
流通股本:8483.86万   总股本:8594.77万

资产负债表

报告期2026-03-312025-12-312025-09-302025-06-30
公司类型通用通用通用通用
流动资产:
  货币资金567,019,174.3822,274,737.83933,388,498.521,063,514,704
  应收票据及应收账款441,394,306.56288,813,449.43261,576,559.26170,827,327.11
  其中:应收票据31,372,676.324,335,754.622,684,165.88,249,602.3
        应收账款410,021,630.26264,477,694.83238,892,393.46162,577,724.81
  应收款项融资4,467,080.795,210,999.458,050,851.042,249,004.91
  预付款项20,586,205.538,362,495.913,452,220.056,056,366.7
  其他应收款合计6,607,811.955,970.7538,074.9468,143.63
  存货162,234,271.31133,695,531.27120,782,988.17124,474,160.69
  其他流动资产11,382,041.183,814,762.591,975,150.955,326,221.53
  流动资产合计1,213,690,891.621,262,177,947.231,329,264,342.931,372,515,928.57
非流动资产:
  长期股权投资134,027,426.39134,372,815.96116,969,582.57117,493,456.67
  其他权益工具投资51,291,448.7431,291,448.7435,000,000-
  其他非流动金融资产12,000,000---
  固定资产820,348,508.91672,144,920.41570,306,761.67551,151,146.42
  在建工程137,730,087.33156,386,588.52145,262,379.571,965,328.05
  使用权资产61,095,907.9563,799,867.7566,046,259.683,679,594.42
  无形资产15,900,017.5114,320,216.5514,769,035.8415,237,742.43
  长期待摊费用715,798.85244,745.4570,924.61192,164.11
  递延所得税资产8,830,932.5840,760,347.14-583,657.86
  其他非流动资产372,128,763.9201,990,059110,220,132.71114,095,330.91
  非流动资产合计1,614,068,892.161,315,311,009.471,059,145,076.58874,398,420.87
  资产总计2,827,759,783.782,577,488,956.72,388,409,419.512,246,914,349.44
流动负债:
  短期借款19,800,000---
  应付票据及应付账款167,034,284.42115,744,30173,520,892.9563,035,545.83
  其中:应付票据39,261,589.6820,547,803.597,971,382.26-
        应付账款127,772,694.7495,196,497.4165,549,510.6963,035,545.83
  合同负债1,823,515.371,861,737.151,439,390.81,533,730.62
  应付职工薪酬12,221,097.4219,975,050.0918,960,634.3812,166,483.26
  应交税费12,546,981.382,899,837.261,695,986.711,011,567.42
  其他应付款合计144,227.89748,091.1115,193,404.314,993,684.23
  一年内到期的非流动负债5,993,756.265,504,950.774,138,977.651,575,150.21
  其他流动负债13,194,586.7624,208,722.8219,824,435.894,518,643.65
  流动负债合计232,758,449.5170,942,690.2134,773,722.6898,834,805.22
非流动负债:
  租赁负债59,185,800.7762,520,752.1164,137,063.452,830,980.81
  预计负债719,035.011,140,945.31778,834.28507,573.96
  递延收益10,366,221.1510,599,885.8710,833,527.9916,667,260.48
  递延所得税负债--6,414,792.89-
  非流动负债合计70,271,056.9374,261,583.2982,164,218.6120,005,815.25
  负债合计303,029,506.43245,204,273.49216,937,941.29118,840,620.47
所有者权益(或股东权益):
  实收资本(或股本)85,947,72685,947,72685,947,72685,947,726
  资本公积1,987,857,642.551,969,422,277.031,890,565,531.741,891,634,235.79
  减:库存股33,727,449.2733,727,449.2733,727,449.2755,419,878.18
  其他综合收益-15,748,973.1-10,317,233.11-7,242,454.55-4,585,825.51
  盈余公积42,973,86342,973,86329,391,923.1229,391,923.12
  未分配利润457,427,468.17277,985,499.56206,536,201.18181,105,547.75
  归属于母公司股东权益合计2,524,730,277.352,332,284,683.212,171,471,478.222,128,073,728.97
  股东权益合计2,524,730,277.352,332,284,683.212,171,471,478.222,128,073,728.97
  负债和股东权益合计2,827,759,783.782,577,488,956.72,388,409,419.512,246,914,349.44
公告日期2026-04-282026-03-252025-10-312025-08-30
审计意见(境内)标准无保留意见
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