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*ST宝实

(000595)

  

流通市值:62.63亿  总市值:62.63亿
流通股本:11.39亿   总股本:11.39亿

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493,522,748.41145,297,135.98124,905,491.13508,133,964.29
  应收票据及应收账款526,351,116.22277,411,470.1205,618,887.91767,714,998.85
  其中:应收票据584,482.588,664,182.6475,240,460.6540,841,055.33
        应收账款525,766,633.72188,747,287.46130,378,427.26726,873,943.52
  应收款项融资2,218,835.821,403,023.483,781,344.737,772,314.05
  预付款项19,466,434.611,995,996.2516,079,766.514,230,874.36
  其他应收款合计68,981,322.163,837,718.154,183,015.962,694,474.14
  存货27,448,740.33160,480,086.41187,759,138.24175,603,862.86
  合同资产34,782,926.6338,656,103.6838,638,703.6838,638,703.68
  其他流动资产544,322,102.292,783,690.763,546,548.27166,185,376.87
  流动资产合计1,717,094,226.46641,865,224.81676,887,717.31,773,349,389.98
非流动资产:
  固定资产6,484,933,370.76237,660,019.44237,896,588.692,833,236,487.68
  在建工程449,209,813.1375,881,967.4274,021,482.25169,835,440.75
  使用权资产834,783,342.34546,223.06728,297.42694,908,997.55
  无形资产31,697,723.1774,772,461.4575,579,039.5591,298,105.07
  开发支出3,907,690.033,907,690.033,907,690.033,907,690.03
  商誉10,768,553.810,768,553.810,768,553.810,768,553.8
  长期待摊费用-27,952.9731,858.6235,764.23
  递延所得税资产3,841,450.971,094,583.681,093,946.782,448,155.57
  其他非流动资产---124,088,590.41
  非流动资产合计7,819,141,944.2404,659,451.85404,027,457.143,930,527,785.09
  资产总计9,536,236,170.661,046,524,676.661,080,915,174.445,703,877,175.07
流动负债:
  短期借款2,699,992,901.25120,000,000150,000,000504,853,411
  应付票据及应付账款1,177,066,729.66143,506,166.9299,929,042.13321,217,664.33
        应付账款1,177,066,729.66143,506,166.9299,929,042.13321,217,664.33
  预收款项100,354.88-199,909,596.99240,571.95
  合同负债-11,234,327.2227,337,241.121,800,522.38
  应付职工薪酬3,491,693.9521,609,288.1318,950,893.1630,713,745.34
  应交税费13,953,322.375,353,320.2625,647,067.5617,664,959.58
  其他应付款合计715,081,693.5789,376,302.3189,059,555.58146,174,190.73
  其中:应付利息-84,678.45140,678.45154,511.77
  一年内到期的非流动负债356,615,987.975,971,085.33362,793.5276,823,256.36
  其他流动负债-91,285,565.2374,176,397.92279,734,143.08
  流动负债合计4,966,302,683.65488,336,055.4685,372,587.961,579,222,464.75
非流动负债:
  长期借款2,995,426,459.5974,400,000-2,201,028,752.57
  租赁负债149,087,695.35191,003.68377,123.83190,363,922.95
  长期应付款228,056,948.872,000,0002,000,000221,568,205.37
  预计负债-8,425,517.749,125,946.89,125,946.8
  递延收益53,141,34333,791,336.7734,502,157.3665,799,380.65
  递延所得税负债6,754.086,754.0811,262.3311,262.33
  非流动负债合计3,425,719,200.89118,814,612.2746,016,490.322,687,897,470.67
  负债合计8,392,021,884.54607,150,667.67731,389,078.284,267,119,935.42
所有者权益(或股东权益):
  实收资本(或股本)1,138,656,3661,138,656,3661,138,656,3661,138,656,366
  资本公积704,336,647.27694,947,950.48694,947,950.481,435,334,250.42
  减:库存股1,137,726.11,137,726.11,137,726.11,137,726.1
  专项储备5,971,768.453,805,607.984,313,515.897,368,891.65
  盈余公积9,390,005.149,390,005.149,390,005.149,390,005.14
  未分配利润-1,348,352,857.96-1,462,904,271.8-1,553,447,826.15-1,528,425,425.17
  归属于母公司股东权益合计508,864,202.8382,757,931.7292,722,285.261,061,186,361.94
  少数股东权益635,350,083.3256,616,077.2956,803,810.9375,570,877.71
  股东权益合计1,144,214,286.12439,374,008.99349,526,096.161,436,757,239.65
  负债和股东权益合计9,536,236,170.661,046,524,676.661,080,915,174.445,703,877,175.07
公告日期2025-10-252025-08-292025-04-262025-04-26
审计意见(境内)标准无保留意见
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