当前位置:首页 - 行情中心 - TCL科技(000100) - 财务分析 - 资产负债表

TCL科技

(000100)

  

流通市值:823.40亿  总市值:946.44亿
流通股本:180.97亿   总股本:208.01亿

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20,224,631,36628,544,343,00037,046,945,21823,007,772,733
  交易性金融资产24,345,975,51124,090,904,00020,113,236,38316,560,971,113
  衍生金融资产59,086,672168,726,000160,776,417172,488,618
  应收票据及应收账款26,113,740,99419,916,066,00019,983,985,44722,432,005,675
  其中:应收票据132,546,071174,115,000190,161,029189,852,988
        应收账款25,981,194,92319,741,951,00019,793,824,41822,242,152,687
  应收款项融资1,415,781,8533,959,626,000780,731,499831,407,255
  预付款项2,345,996,4612,024,654,0001,934,336,7812,090,491,922
  其他应收款合计3,674,963,2683,926,955,0004,760,273,7924,723,140,548
        应收股利675,118,675-675,118,675675,118,675
  存货21,141,468,64320,535,402,00019,542,658,01217,594,133,395
  合同资产387,645,137397,673,000404,081,351395,116,789
  一年内到期的非流动资产1,448,125,2191,765,934,0001,802,574,291849,705,941
  其他流动资产8,213,437,1438,768,522,0007,552,642,2156,716,208,634
  流动资产合计109,370,852,267114,098,805,000114,082,241,40695,373,442,623
非流动资产:
  债权投资582,299,281176,057,000145,710,768147,271,738
  长期应收款119,524,707416,754,000415,445,613443,741,405
  长期股权投资24,265,865,59924,120,705,00024,076,993,83324,595,634,142
  其他权益工具投资412,376,934414,317,000388,314,507387,850,846
  其他非流动金融资产2,804,454,7192,573,971,0002,456,164,1222,225,199,823
  投资性房地产560,133,255602,893,000608,114,796612,733,509
  固定资产166,429,063,963172,569,695,000166,115,575,455170,512,009,105
  在建工程19,841,159,89717,808,444,00023,446,522,18223,580,503,161
  使用权资产6,372,228,0556,593,796,0006,659,663,5126,697,687,926
  无形资产18,560,203,77218,963,082,00018,007,727,89718,117,467,463
  开发支出1,537,561,0581,769,474,0001,759,459,3921,831,444,027
  商誉11,962,253,65211,973,732,00011,154,744,27711,159,705,297
  长期待摊费用2,662,263,1402,515,800,0002,397,402,9872,163,456,812
  递延所得税资产2,715,639,5092,787,120,0002,717,828,2182,486,427,319
  其他非流动资产13,455,519,79523,084,818,00025,726,075,16317,917,340,727
  非流动资产合计272,280,547,336286,370,658,000286,075,742,722282,878,473,300
  资产总计381,651,399,603400,469,463,000400,157,984,128378,251,915,923
流动负债:
  短期借款8,815,334,5329,228,272,0008,183,086,3078,193,283,100
  向中央银行借款91,666,3441,002,386,000785,519,134600,925,595
  吸收存款及同业存放188,654,8741,126,234,000319,730,638177,654,155
  拆入资金500,052,778---
  交易性金融负债261,219,141242,097,000330,635,763232,405,610
  衍生金融负债61,410,02185,376,000105,606,464248,845,063
  应付票据及应付账款43,318,567,09641,325,569,00036,558,913,04936,455,457,299
  其中:应付票据7,480,410,2046,735,401,0005,844,713,0417,107,842,242
        应付账款35,838,156,89234,590,168,00030,714,200,00829,347,615,057
  预收款项5,312,101737,0001,818,0212,688,530
  合同负债1,997,537,5922,183,855,0002,178,875,9801,969,271,038
  应付职工薪酬4,626,671,6643,773,305,0004,413,021,6614,188,236,860
  应交税费1,385,585,1871,433,018,000984,392,9711,206,097,922
  其他应付款合计18,649,666,07919,249,289,00018,546,360,68820,072,070,113
        应付股利13,248,764-13,131,36413,131,367
  一年内到期的非流动负债33,598,571,87641,636,768,00042,775,335,10336,224,483,112
  其他流动负债1,590,407,6221,517,077,0001,534,756,1841,484,914,785
  流动负债合计115,090,656,907122,803,983,000116,718,051,963111,056,333,182
非流动负债:
  长期借款123,534,083,925128,471,716,000133,673,161,536116,815,131,219
  应付债券6,557,139,2506,482,694,0005,485,405,5696,488,620,429
  租赁负债6,233,896,0086,300,595,0006,294,008,5216,334,785,779
  长期应付款1,429,607,3451,636,141,0001,769,650,5921,994,811,580
  长期应付职工薪酬21,957,72122,113,00022,268,40222,423,743
  预计负债227,893,429213,233,000317,188,074249,217,532
  递延收益2,664,621,4133,067,628,0002,627,333,4131,014,891,072
  递延所得税负债2,143,325,7022,096,870,0001,650,765,5571,544,449,080
  其他非流动负债28,652,17532,333,00036,398,47927,508,246
  非流动负债合计142,841,176,968148,323,323,000151,876,180,143134,491,838,680
  负债合计257,931,833,875271,127,306,000268,594,232,106245,548,171,862
所有者权益(或股东权益):
  实收资本(或股本)20,800,862,44718,779,081,00018,779,080,76718,779,080,767
  资本公积14,897,640,9259,905,741,0009,998,788,09110,553,081,163
  减:库存股1,503,652,075703,652,000876,056,712919,321,508
  其他综合收益-817,322,308-823,811,000-854,071,524-740,458,937
  专项储备5,630,5225,120,0008,274,5697,189,104
  盈余公积3,974,386,3243,974,386,0003,974,386,3243,974,386,324
  一般风险准备8,933,5158,934,0008,933,5158,933,515
  未分配利润23,563,285,09322,449,307,00022,517,295,76621,504,718,929
  归属于母公司股东权益合计60,929,764,44353,595,106,00053,556,630,79653,167,609,357
  少数股东权益62,789,801,28575,747,051,00078,007,121,22679,536,134,704
  股东权益合计123,719,565,728129,342,157,000131,563,752,022132,703,744,061
  负债和股东权益合计381,651,399,603400,469,463,000400,157,984,128378,251,915,923
公告日期2025-10-312025-08-302025-04-292025-04-29
审计意见(境内)标准无保留意见
TOP↑