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明冠新材

(688560)

  

流通市值:33.44亿  总市值:33.44亿
流通股本:2.01亿   总股本:2.01亿

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1,029,601,116.171,421,100,643.721,440,734,322.241,462,541,196.73
  交易性金融资产360,394,40080,022,800151,140,200150,782,700
  应收票据及应收账款355,863,698.55369,765,905.72305,459,191.36264,983,078.37
  其中:应收票据47,135,991.5571,794,507.8689,420,564.245,342,394.42
        应收账款308,727,707297,971,397.86216,038,627.16219,640,683.95
  应收款项融资45,080,523.6920,805,992.696,327,924.7522,465,537.29
  预付款项24,795,799.322,795,192.6518,638,113.4910,502,808.36
  其他应收款合计5,559,708.143,211,197.312,901,546.184,876,225.73
  存货155,796,851.2197,371,972.65114,093,189.6286,102,807.87
  其他流动资产50,011,960.5645,127,215.946,225,272.7648,052,249.82
  流动资产合计2,027,104,057.622,060,200,920.642,085,519,760.42,050,306,604.17
非流动资产:
  其他权益工具投资46,883,105.626,883,105.626,883,105.626,883,105.6
  投资性房地产9,080,488.69,223,932.799,367,376.989,510,821.17
  固定资产446,040,866.76460,246,437.92507,733,687.56521,959,401.83
  在建工程39,254,277.1219,687,135.9529,490,923.3227,113,664.48
  使用权资产3,409,921.094,979,314.573,190,775.325,028,115.74
  无形资产162,166,562.35164,398,960.81163,573,912.57165,649,977.51
  长期待摊费用13,738,065.2415,169,642.8919,045,394.4122,956,387.35
  递延所得税资产24,238,042.9224,859,638.219,273,426.0220,366,558.39
  其他非流动资产2,558,6606,296,207.414,371,877.13,889,182.09
  非流动资产合计747,369,989.68731,744,376.14782,930,478.88803,357,214.16
  资产总计2,774,474,047.32,791,945,296.782,868,450,239.282,853,663,818.33
流动负债:
  短期借款-15,593,568.0935,133,809.28-
  应付票据及应付账款150,722,261.47149,694,988.86141,471,250.28126,431,065.33
  其中:应付票据39,582,700.7153,299,942.6847,346,586.3825,122,150.34
        应付账款111,139,560.7696,395,046.1894,124,663.9101,308,914.99
  预收款项174,558.86158,872.72--
  合同负债24,202,346.382,635,433.13,531,914.882,735,567.82
  应付职工薪酬6,164,258.368,788,324.455,087,980.534,645,374.26
  应交税费3,323,132.43,317,342.723,043,630.533,284,019.52
  其他应付款合计10,558,154.4711,459,011.4610,683,301.4815,988,713.6
  一年内到期的非流动负债1,779,720.921,766,811.6573,191.624,637,106.25
  其他流动负债360,645.02341,312.94437,050.68350,778.05
  流动负债合计197,285,077.88193,755,665.99199,462,129.28158,072,624.83
非流动负债:
  租赁负债982,116.791,188,055.09--
  递延收益8,963,998.179,552,436.1710,140,874.1710,729,312.17
  递延所得税负债1,470,776.41,492,467.53,629,037.933,132,681.56
  非流动负债合计11,416,891.3612,232,958.7613,769,912.113,861,993.73
  负债合计208,701,969.24205,988,624.75213,232,041.38171,934,618.56
所有者权益(或股东权益):
  实收资本(或股本)201,301,918201,301,918201,301,918201,301,918
  资本公积2,328,136,203.522,328,136,203.522,328,136,203.522,328,136,203.52
  减:库存股272,629,466.98272,629,466.98272,629,466.98272,629,466.98
  其他综合收益-19,778,297.33-15,686,487.57-14,171,843.27-8,779,769.13
  盈余公积78,053,166.6778,053,166.6778,053,166.6778,053,166.67
  未分配利润250,688,554.18266,781,338.39334,528,219.96355,647,147.69
  归属于母公司股东权益合计2,565,772,078.062,585,956,672.032,655,218,197.92,681,729,199.77
  股东权益合计2,565,772,078.062,585,956,672.032,655,218,197.92,681,729,199.77
  负债和股东权益合计2,774,474,047.32,791,945,296.782,868,450,239.282,853,663,818.33
公告日期2026-04-282026-04-282025-10-302025-08-21
审计意见(境内)标准无保留意见
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