当前位置:首页 - 行情中心 - 鲁阳节能(002088) - 财务分析 - 资产负债表

鲁阳节能

(002088)

  

流通市值:63.78亿  总市值:64.70亿
流通股本:5.06亿   总股本:5.13亿

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245,462,162.65261,509,262.58602,258,823.04652,467,666.59
  应收票据及应收账款1,567,803,235.121,563,795,792.041,675,303,822.861,814,353,850.73
  其中:应收票据429,061,212.55417,559,930.37484,557,023.78622,417,068.75
        应收账款1,138,742,022.571,146,235,861.671,190,746,799.081,191,936,781.98
  应收款项融资98,689,918.05125,866,659.5578,105,482.78122,838,111.59
  预付款项25,586,645.3330,901,238.8919,680,712.2422,262,017.2
  其他应收款合计23,987,084.0425,076,988.525,318,734.4124,417,855.69
  存货302,742,215.32320,505,621.05338,332,807.63279,687,389.33
  其他流动资产18,642,762.3120,974,58323,876,514.9724,075,344.23
  流动资产合计2,282,914,022.822,348,630,145.612,762,876,897.932,940,102,235.36
非流动资产:
  投资性房地产26,458,161.7927,195,894.5727,933,630.1528,671,365.73
  固定资产655,883,202.95672,985,551.7691,763,817.19711,234,555.17
  在建工程15,584,675.9311,750,843.2510,871,951.788,792,328.86
  使用权资产10,880,257.4412,633,051.5914,295,664.0216,185,020.07
  无形资产117,199,318.69117,713,218.06119,302,783.36121,742,182.79
  长期待摊费用6,194,979.486,691,941.637,237,799.67,805,260.32
  递延所得税资产47,058,200.7942,296,295.838,682,440.6439,936,899.11
  其他非流动资产68,745,995.2164,204,664.3163,120,150.4662,940,006.57
  非流动资产合计948,004,792.28955,471,460.91973,208,237.2997,307,618.62
  资产总计3,230,918,815.13,304,101,606.523,736,085,135.133,937,409,853.98
流动负债:
  短期借款--200,000-
  应付票据及应付账款342,332,077.85431,168,448.54436,880,953.15628,608,411.39
        应付账款342,332,077.85431,168,448.54436,880,953.15628,608,411.39
  合同负债60,865,556.3372,900,806.3186,256,101.0369,852,335.85
  应付职工薪酬55,198,176.4147,097,240.9544,841,726.486,130,804.34
  应交税费39,805,371.1715,377,681.8830,155,907.541,159,840.71
  其他应付款合计94,020,404.57126,743,830.37133,554,513.59159,366,067.34
  一年内到期的非流动负债6,196,963.177,748,800.158,446,147.619,432,299.87
  其他流动负债9,711,347.2410,082,087.2912,034,721.7119,385,524.18
  流动负债合计608,129,896.74711,118,895.49752,370,070.991,013,935,283.68
非流动负债:
  租赁负债7,560,656.288,151,292.299,191,562.610,014,892.28
  预计负债150,570.86150,570.86150,570.86150,570.86
  递延收益13,457,962.2414,160,160.6614,862,359.0815,564,557.51
  递延所得税负债1,288,141.561,191,709.941,167,761.941,058,256.22
  其他非流动负债2,142,857.242,571,428.663,000,000.083,428,571.5
  非流动负债合计24,600,188.1826,225,162.4128,372,254.5630,216,848.37
  负债合计632,730,084.92737,344,057.9780,742,325.551,044,152,132.05
所有者权益(或股东权益):
  实收资本(或股本)510,807,586513,122,586513,122,586513,122,586
  资本公积322,960,794.09335,146,366.28334,932,635.42333,129,137.88
  减:库存股23,425,267.7442,382,460.6944,043,613.644,043,613.6
  其他综合收益-409,854.64-569,002.42-252,931.04-494,003.68
  盈余公积379,282,825.93379,282,825.93379,282,825.93379,282,825.93
  未分配利润1,408,972,646.541,382,157,233.521,772,301,306.871,712,260,789.4
  归属于母公司股东权益合计2,598,188,730.182,566,757,548.622,955,342,809.582,893,257,721.93
  股东权益合计2,598,188,730.182,566,757,548.622,955,342,809.582,893,257,721.93
  负债和股东权益合计3,230,918,815.13,304,101,606.523,736,085,135.133,937,409,853.98
公告日期2025-10-292025-08-302025-04-282025-04-28
审计意见(境内)标准无保留意见
TOP↑