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科陆电子

(002121)

  

流通市值:102.89亿  总市值:122.07亿
流通股本:14.00亿   总股本:16.61亿

资产负债表

报告期2025-12-312025-09-302025-06-302025-03-31
公司类型通用通用通用通用
流动资产:
  货币资金1,474,066,186.41,686,212,533.11,532,472,513.91,320,772,912.29
  交易性金融资产8,929.210,441.27,131.66,930
  应收票据及应收账款2,057,910,212.51,217,641,385.561,553,293,311.091,420,588,482.89
  其中:应收票据44,253,569.8145,790,920.7842,028,262.7847,599,855.16
        应收账款2,013,656,642.691,171,850,464.781,511,265,048.311,372,988,627.73
  应收款项融资3,222,530.14---
  预付款项101,857,527.17173,606,931.0872,840,604.7279,740,044.87
  其他应收款合计63,259,405.6372,945,962.23120,638,531.45128,504,041.94
  存货943,312,551.641,399,007,399.49856,092,221.761,077,749,580.95
  合同资产0---
  其他流动资产146,424,500.2594,465,988.88103,088,218.34140,697,188.22
  流动资产合计4,790,061,842.934,668,977,716.024,263,519,607.344,193,146,255.64
非流动资产:
  长期应收款5,050,00017,377,121.7117,467,121.7113,064,420.56
  长期股权投资257,849,689.86308,449,602.06312,006,012.57315,870,598.07
  其他非流动金融资产100,825,766.2101,512,668.58102,077,215.95105,466,944.13
  投资性房地产19,528,470.86124,278,361.1125,260,172.82126,241,984.53
  固定资产2,129,586,396.741,960,539,655.922,084,927,711.282,062,518,905.25
  在建工程39,748,932.3131,537,080.5233,075,458.8759,408,898.8
  使用权资产22,308,635.982,239,221.361,565,822.751,712,862.61
  无形资产412,148,974.63416,695,776.77432,112,634.13434,819,680.78
  商誉70,359,286.4470,359,286.4470,359,286.4473,322,469.26
  长期待摊费用48,518,155.2151,073,175.9652,513,018.5659,092,544.08
  递延所得税资产364,906,697.1529,707,347.53510,609,318.49549,213,966.87
  其他非流动资产11,771,746.8521,537,358.5321,204,075.0122,309,657.83
  非流动资产合计3,482,602,752.183,635,306,656.483,763,177,848.583,823,042,932.77
  资产总计8,272,664,595.118,304,284,372.58,026,697,455.928,016,189,188.41
流动负债:
  短期借款2,700,264,089.883,000,709,727.753,147,068,236.352,821,039,129.35
  衍生金融负债---112,969.98
  应付票据及应付账款2,948,372,538.822,208,989,053.222,275,417,329.192,507,354,841.77
  其中:应付票据801,418,609.7789,350,871.36719,702,629.83617,368,993.86
        应付账款2,146,953,929.121,419,638,181.861,555,714,699.361,889,985,847.91
  合同负债665,306,514.721,022,252,828.35823,257,428.13764,361,046.12
  应付职工薪酬198,378,352.38148,765,223.7121,243,471.8186,026,867.05
  应交税费60,200,897.1424,843,381.5143,963,266.7723,490,747.53
  其他应付款合计333,896,956.49335,962,267.47213,232,027.23254,208,579.86
  一年内到期的非流动负债390,823,105.42302,350,034.72192,246,145.83419,846,111.11
  其他流动负债19,808,497.2535,801,295.0111,102,731.2215,671,875.07
  流动负债合计7,317,050,952.17,079,673,811.736,827,530,636.536,892,112,167.84
非流动负债:
  长期借款292,117,333.33212,185,700232,205,761.39315,625,068.2
  租赁负债16,261,598.162,413,300.051,678,519.281,768,898.7
  预计负债220,858,266.79200,016,818.91194,522,908.22173,361,647.08
  递延收益24,540,194.0924,952,944.0135,081,132.135,673,994.52
  递延所得税负债973,372.753,394,211.173,394,211.173,394,211.17
  非流动负债合计554,750,765.12442,962,974.14466,882,532.16529,823,819.67
  负债合计7,871,801,717.227,522,636,785.877,294,413,168.697,421,935,987.51
所有者权益(或股东权益):
  实收资本(或股本)1,660,816,6881,660,816,6881,660,816,6881,660,816,688
  资本公积2,493,798,247.872,490,522,139.342,488,009,502.292,484,244,803.49
  其他综合收益27,174,127.3125,501,599.9826,473,735.6826,478,251.88
  专项储备-909,121.58909,121.58909,121.58
  盈余公积134,505,883.55134,505,883.55134,505,883.55134,505,883.55
  未分配利润-3,959,836,001.39-3,571,766,327.48-3,613,542,632.13-3,736,172,016.7
  归属于母公司股东权益合计356,458,945.34740,489,104.97697,172,298.97570,782,731.8
  少数股东权益44,403,932.5541,158,481.6635,111,988.2623,470,469.1
  股东权益合计400,862,877.89781,647,586.63732,284,287.23594,253,200.9
  负债和股东权益合计8,272,664,595.118,304,284,372.58,026,697,455.928,016,189,188.41
公告日期2026-03-212025-10-252025-08-152025-04-15
审计意见(境内)标准无保留意见
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