当前位置:首页 - 行情中心 - 如意集团(002193) - 财务分析 - 资产负债表

如意集团

(002193)

  

流通市值:15.39亿  总市值:15.39亿
流通股本:2.62亿   总股本:2.62亿

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13,917,592.2316,833,557.269,057,085.5411,038,832.33
  应收票据及应收账款210,067,894.62255,881,028.24265,107,591.97294,074,728.43
  其中:应收票据1,584,994.712,102,225.635,871,517.91279,482.6
        应收账款208,482,899.91253,778,802.61259,236,074.06293,795,245.83
  应收款项融资--535,128.96-
  预付款项55,726,772.7353,112,786.7852,708,527.3569,029,918.2
  其他应收款合计7,630,304.019,249,902.978,249,502.9613,738,487.07
  存货502,021,869.48495,302,151.35499,123,741.26508,171,779.33
  其他流动资产2,132,313.743,001,066.853,001,066.852,172,349.13
  流动资产合计791,496,746.81833,380,493.45837,782,644.89898,226,094.49
非流动资产:
  长期股权投资300,537,937.39300,537,937.39300,537,937.39300,537,937.39
  其他权益工具投资---2,315,456
  其他非流动金融资产431,300,168.05431,300,168.05431,300,168.05793,798,718.81
  投资性房地产62,437,119.5562,842,154.5663,247,189.5763,640,515.29
  固定资产899,333,895.12913,365,443.72924,408,417.8938,595,613.16
  在建工程21,170,00021,170,00021,170,00023,553,707.43
  使用权资产337,598.32337,598.32337,598.32693,733.74
  无形资产132,473,153.32133,734,965.71135,000,111.46136,303,263.55
  递延所得税资产41,188,795.332,344,624.7532,044,684.7649,834,274.58
  其他非流动资产542,476.56542,476.56542,476.56542,476.56
  非流动资产合计1,889,321,143.611,896,175,369.061,908,588,583.912,309,815,696.51
  资产总计2,680,817,890.422,729,555,862.512,746,371,228.83,208,041,791
流动负债:
  短期借款661,014,581.2661,014,581.2661,014,582.2662,291,700.13
  应付票据及应付账款394,200,835.42389,862,993.4383,830,697.78296,436,920.29
  其中:应付票据---1,000,000
        应付账款394,200,835.42389,862,993.4383,830,697.78295,436,920.29
  预收款项---1,452,020.11
  合同负债46,445,275.4739,261,454.3440,413,492.2854,819,517.58
  应付职工薪酬101,208,793.999,547,350.3394,322,560.3979,926,241.4
  应交税费98,060,111.34101,449,898.71109,980,620.4787,990,152.2
  其他应付款合计284,260,488.55271,608,397.6266,029,373.21328,198,661.51
  其中:应付利息166,338,196.17156,168,570.68146,167,774.06107,366,242.89
        应付股利16,437,25416,437,25416,437,25416,437,254
  一年内到期的非流动负债217,019,835.76217,019,835.76217,019,835.76496,329,145.26
  其他流动负债4,909,753.044,091,650.833,857,632.466,023,713.02
  流动负债合计1,807,119,674.681,783,856,162.171,776,468,794.552,013,468,071.5
非流动负债:
  长期借款278,775,000278,775,000278,775,000-
  租赁负债150,586.06150,586.06150,586.06343,105.21
  预计负债9,615,544.289,615,544.289,616,544.948,161,134.2
  递延收益13,177,086.6913,702,668.8213,654,642.8113,676,917.82
  递延所得税负债38,920.6638,920.6638,920.66277,998.32
  其他非流动负债---48,629.78
  非流动负债合计301,757,137.69302,282,719.82302,235,694.4722,507,785.33
  负债合计2,108,876,812.372,086,138,881.992,078,704,489.022,035,975,856.83
所有者权益(或股东权益):
  实收资本(或股本)261,715,550261,715,550261,715,550261,715,550
  资本公积1,667,523,548.61,667,523,548.61,667,523,548.61,627,560,255.4
  其他综合收益---1,054,403.2
  盈余公积88,283,589.6388,283,589.6388,283,589.6388,283,589.63
  未分配利润-1,445,581,610.18-1,374,105,707.71-1,349,855,948.45-806,547,864.06
  归属于母公司股东权益合计571,941,078.05643,416,980.52667,666,739.781,172,065,934.17
  股东权益合计571,941,078.05643,416,980.52667,666,739.781,172,065,934.17
  负债和股东权益合计2,680,817,890.422,729,555,862.512,746,371,228.83,208,041,791
公告日期2025-08-292025-04-302025-04-292024-10-28
审计意见(境内)保留意见
TOP↑