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佳电股份

(000922)

  

流通市值:83.92亿  总市值:99.31亿
流通股本:5.87亿   总股本:6.95亿

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1,556,615,157.061,744,164,512.752,086,773,527.142,368,426,257.58
  交易性金融资产---354,165,000
  应收票据及应收账款2,207,921,385.542,073,472,125.212,059,743,591.622,010,712,405.85
  其中:应收票据424,709,980.69414,388,156.39444,121,796.08565,765,256.26
        应收账款1,783,211,404.851,659,083,968.821,615,621,795.541,444,947,149.59
  应收款项融资380,938,205.7260,111,009.08335,858,441.75224,895,164.79
  预付款项814,124,268.22746,584,220.2643,636,568.61631,070,062.03
  其他应收款合计22,708,889.8121,684,162.1721,823,447.7512,733,210.87
  其中:应收利息26,176.79---
  存货1,773,000,795.411,670,338,126.421,738,283,500.91,630,276,247.61
  合同资产611,156,014.14627,244,801.83635,542,531.42558,787,262.27
  其他流动资产5,902,670.443,198,624.7911,214,642.2822,442,493.71
  流动资产合计7,372,367,386.327,146,797,582.457,532,876,251.477,813,508,104.71
非流动资产:
  长期股权投资11,519,844.5711,694,278.8612,098,815.4612,098,815.46
  其他非流动金融资产2,110,114.492,110,114.492,113,220.72,113,220.7
  投资性房地产48,900,631.8649,581,980.4150,263,328.9250,944,677.46
  固定资产1,658,948,984.481,658,345,555.81,595,109,633.481,616,520,846.29
  在建工程290,844,768.81191,097,119.09235,320,518.01236,063,089.15
  使用权资产13,761,202.3314,770,728.515,780,254.6216,789,780.77
  无形资产183,830,896.63178,855,940.33176,128,308.46172,711,636.95
  递延所得税资产87,723,023.3287,723,023.3293,625,402.2998,299,657.85
  其他非流动资产4,854,889.414,628,137.1324,019,737.8624,312,884.58
  非流动资产合计2,302,494,355.92,198,806,877.932,204,459,219.82,229,854,609.21
  资产总计9,674,861,742.229,345,604,460.389,737,335,471.2710,043,362,713.92
流动负债:
  短期借款63,429,496.9468,882,202.69346,388,655.841,486,004,143.47
  应付票据及应付账款2,479,393,467.021,987,175,872.882,356,105,041.672,818,269,842.2
  其中:应付票据513,865,240.9973,246,400.34595,081,145.431,166,721,044.77
        应付账款1,965,528,226.031,913,929,472.541,761,023,896.241,651,548,797.43
  合同负债1,465,569,698.681,505,966,630.571,722,229,274.871,614,722,577.44
  应付职工薪酬12,016,291.8212,415,160.6422,585,867.6823,959,774.68
  应交税费41,057,611.435,288,563.5610,558,720.5812,474,525.58
  其他应付款合计77,892,205.1558,600,682.1372,722,693.866,613,365.6
  一年内到期的非流动负债-3,785,854.93,785,854.93,785,854.9
  其他流动负债158,823,719.33207,039,114.98130,814,799.53129,848,406.02
  流动负债合计4,298,182,490.34,279,154,082.354,665,190,908.876,155,678,489.89
非流动负债:
  长期借款86,253,249.78---
  租赁负债11,733,874.9112,216,210.4912,211,230.5712,206,250.65
  长期应付款20,000,00020,000,00020,000,00020,000,000
  长期应付职工薪酬12,915,080.6112,915,080.6112,935,507.0912,935,507.09
  预计负债33,962,466.1132,994,470.4749,088,997.6555,674,214.22
  递延收益73,544,350.9671,958,210.6175,742,816.6579,518,356.72
  递延所得税负债3,540,577.343,540,577.344,875,500.964,875,500.96
  非流动负债合计241,949,599.71153,624,549.52174,854,052.92185,209,829.64
  负债合计4,540,132,090.014,432,778,631.874,840,044,961.796,340,888,319.53
所有者权益(或股东权益):
  实收资本(或股本)694,985,154695,216,654695,216,654593,428,553
  资本公积2,261,388,412.462,287,949,523.22,287,949,523.21,279,947,047.09
  减:库存股-659,080.51,369,5541,369,554
  专项储备20,411,43612,326,194.311,510,196.089,012,863.2
  盈余公积228,941,471.94228,941,471.94228,941,471.94228,941,471.94
  未分配利润1,344,988,069.841,281,050,870.091,281,326,982.451,226,237,930.86
  归属于母公司股东权益合计4,550,714,544.244,504,825,633.034,503,575,273.673,336,198,312.09
  少数股东权益584,015,107.97408,000,195.48393,715,235.81366,276,082.3
  股东权益合计5,134,729,652.214,912,825,828.514,897,290,509.483,702,474,394.39
  负债和股东权益合计9,674,861,742.229,345,604,460.389,737,335,471.2710,043,362,713.92
公告日期2025-10-282025-08-232025-04-252025-03-31
审计意见(境内)标准无保留意见
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