当前位置:首页 - 行情中心 - 创维数字(000810) - 财务分析 - 资产负债表

创维数字

(000810)

  

流通市值:142.71亿  总市值:146.70亿
流通股本:11.11亿   总股本:11.42亿

资产负债表

报告期2025-06-302025-03-312024-12-312024-09-30
公司类型通用通用通用通用
流动资产:
  货币资金3,007,234,894.373,240,552,719.333,322,249,094.513,754,914,241.01
  应收票据及应收账款3,175,877,946.962,706,339,382.362,965,514,535.682,983,657,438.16
  其中:应收票据195,630,681.96249,729,784.28327,825,278.24122,899,013.01
        应收账款2,980,247,2652,456,609,598.082,637,689,257.442,860,758,425.15
  预付款项152,289,111.22118,487,361.8596,952,698.26154,999,279.12
  其他应收款合计89,048,181.9798,956,316.31119,512,128.08106,560,741.78
  存货2,068,786,938.541,831,468,006.011,520,708,145.911,531,562,034.1
  一年内到期的非流动资产029,938,137.1616,234,007.910
  其他流动资产225,472,050.66189,323,650.57191,232,144.72173,109,754.29
  流动资产合计8,718,709,123.728,215,065,573.598,232,402,755.078,704,803,488.46
非流动资产:
  长期应收款0017,110,163.7618,887,406.92
  长期股权投资162,530,277.2165,467,042.1167,685,902.21170,110,197.36
  其他权益工具投资35,792,959.5535,890,959.4435,941,959.3935,036,960.41
  其他非流动金融资产54,416,872.2954,416,735.3754,416,735.3754,366,345.5
  固定资产1,383,703,697.751,394,124,354.721,212,898,177.91549,982,385.76
  在建工程108,059,727.5148,939,824.33230,200,000.96859,812,650.31
  使用权资产28,670,546.6823,147,514.523,432,941.3826,560,186.36
  无形资产301,398,832.93303,727,458.4306,895,475.86309,372,205.1
  商誉78,179,759.1878,179,759.1878,179,759.1891,648,800.54
  长期待摊费用12,349,963.4413,573,606.6414,832,171.4716,441,821.05
  递延所得税资产314,644,348.58290,728,448.99267,642,388.87269,203,147.68
  其他非流动资产13,859,172.4517,867,015.0516,123,855.2224,621,717.55
  非流动资产合计2,493,606,157.562,426,062,718.722,425,359,531.582,426,043,824.54
  资产总计11,212,315,281.2810,641,128,292.3110,657,762,286.6511,130,847,313
流动负债:
  短期借款1,101,569,106.69851,345,477.9847,988,079.31,090,698,777.92
  衍生金融负债1,571,257.1400485,350
  应付票据及应付账款2,641,684,553.692,332,354,454.542,214,006,908.262,325,025,527.83
  其中:应付票据341,657,725.38385,446,843.55461,543,454.01438,780,835.75
        应付账款2,300,026,828.311,946,907,610.991,752,463,454.251,886,244,692.08
  预收款项62,739.8175,177.12254,254.2588,096.38
  合同负债41,772,324.1961,209,480.848,633,032.1747,444,738.41
  应付职工薪酬165,751,265.64175,055,633.31168,582,044.14209,924,234.9
  应交税费55,108,160.1254,153,567.4151,634,352.3559,324,208.49
  其他应付款合计542,742,501.65492,234,884.9578,696,891.29662,202,276.65
        应付股利993,237.55000
  一年内到期的非流动负债4,978,227.536,030,754.764,738,743.357,344,833.72
  其他流动负债59,077,023.6273,649,744.6173,798,134.9762,429,686.96
  流动负债合计4,614,317,160.074,046,209,175.353,988,332,440.034,465,467,731.26
非流动负债:
  租赁负债26,705,278.4819,859,629.4520,817,290.523,684,489.31
  预计负债42,318,691.0138,918,041.1435,350,419.0232,123,976.23
  递延收益180,039,186.31181,498,490.13177,961,324.28164,855,781.2
  递延所得税负债7,037.588,064.4389,173.379,788,816.88
  其他非流动负债14,300,529.815,256,351.4210,138,815.3913,397,866.75
  非流动负债合计263,370,723.18255,540,576.57244,357,022.56243,850,930.37
  负债合计4,877,687,883.254,301,749,751.924,232,689,462.594,709,318,661.63
所有者权益(或股东权益):
  实收资本(或股本)1,141,595,5791,150,216,0721,150,216,0721,150,216,072
  资本公积1,356,032,353.211,472,642,482.421,472,642,482.421,472,642,482.42
  减:库存股0125,230,622.21125,230,622.21125,230,622.21
  其他综合收益-30,649,675.29-39,310,549.81-42,866,437.04-39,092,350.17
  盈余公积419,282,418.87419,282,418.87419,282,418.87381,028,057.48
  未分配利润3,473,203,419.363,482,019,967.593,568,020,187.063,591,953,526.59
  归属于母公司股东权益合计6,359,464,095.156,359,619,768.866,442,064,101.16,431,517,166.11
  少数股东权益-24,836,697.12-20,241,228.47-16,991,277.04-9,988,514.74
  股东权益合计6,334,627,398.036,339,378,540.396,425,072,824.066,421,528,651.37
  负债和股东权益合计11,212,315,281.2810,641,128,292.3110,657,762,286.6511,130,847,313
公告日期2025-08-232025-04-102025-03-252024-10-26
审计意见(境内)标准无保留意见
TOP↑