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天威视讯

(002238)

  

流通市值:69.66亿  总市值:69.66亿
流通股本:8.03亿   总股本:8.03亿

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886,383,754.78895,173,358.84882,802,4811,102,825,212.6
  交易性金融资产46,000,00095,500,000156,000,0002,500,000
  应收票据及应收账款215,878,660.44204,906,876.8196,237,650.31191,660,834.53
  其中:应收票据1,172,791.512,701,795.122,234,000-
        应收账款214,705,868.93202,205,081.68194,003,650.31191,660,834.53
  应收款项融资---200,000
  预付款项22,897,178.0917,642,747.228,303,016.785,726,736.37
  其他应收款合计23,307,163.3516,264,700.7222,628,117.8320,401,944.6
  存货84,589,493.4565,184,163.1169,328,982.248,047,109.48
  合同资产64,544,526.6668,174,869.2871,866,447.1981,293,719.45
  一年内到期的非流动资产45,795,218.2245,450,610.3232,116,583.27-
  其他流动资产47,043,386.6450,348,144.8153,063,268.7247,558,658.44
  流动资产合计1,436,439,381.631,458,645,471.11,492,346,547.31,500,214,215.47
非流动资产:
  长期股权投资25,905,095.1227,621,670.8324,836,145.929,306,449.72
  其他权益工具投资200,000,000200,000,000200,000,000200,000,000
  其他非流动金融资产64,483,30064,483,30064,483,30064,483,300
  投资性房地产232,321,760.67234,341,672.58236,361,584.49238,381,496.4
  固定资产1,305,342,438.431,343,884,451.311,375,087,967.821,415,779,739.51
  在建工程85,427,155.6682,023,767.7371,868,762.0272,482,498.3
  使用权资产36,241,384.8240,739,853.6640,263,591.1445,129,365.92
  无形资产272,474,960.83277,436,652.75281,994,843.58286,243,050.48
  开发支出952,329.83426,090.17--
  长期待摊费用136,049,830.6140,551,912.74148,009,091.84151,349,126.11
  递延所得税资产3,757,505.93,326,431.212,900,160.173,271,124.05
  其他非流动资产203,150,207.96201,815,013.34201,693,276.77220,695,908.37
  非流动资产合计2,566,105,969.822,616,650,816.322,647,498,723.732,727,122,058.86
  资产总计4,002,545,351.454,075,296,287.424,139,845,271.034,227,336,274.33
流动负债:
  短期借款431,429,431.88463,177,459.87412,319,990.26377,726,759.92
  应付票据及应付账款502,063,424.06500,567,536.06517,400,129.08571,855,523.4
  其中:应付票据34,434,295.5220,156,007.5252,271,093.9865,449,613.58
        应付账款467,629,128.54480,411,528.54465,129,035.1506,405,909.82
  预收款项1,374,728.561,443,934.72971,133.181,365,152.81
  合同负债397,075,135.02382,084,555.14395,465,441.11389,738,604.22
  应付职工薪酬23,840,760.6925,388,140.2124,026,837.130,280,738.57
  应交税费11,026,076.0110,353,918.055,599,723.1412,002,859.93
  其他应付款合计260,238,762.18289,184,297.37261,915,541.83260,587,223.7
        应付股利-40,127,958--
  一年内到期的非流动负债19,263,755.7721,785,189.4620,795,026.6224,339,773.92
  其他流动负债27,753,587.7626,279,444.2626,399,394.127,815,469.31
  流动负债合计1,674,065,661.931,720,264,475.141,664,893,216.421,695,712,105.78
非流动负债:
  租赁负债19,263,755.7721,785,189.4622,527,945.524,758,610.2
  预计负债2,356,161.712,434,369.362,666,391.362,467,945.39
  递延收益130,353,006.78136,353,708.11143,668,647.83151,934,192.74
  非流动负债合计151,972,924.26160,573,266.93168,862,984.69179,160,748.33
  负债合计1,826,038,586.191,880,837,742.071,833,756,201.111,874,872,854.11
所有者权益(或股东权益):
  实收资本(或股本)802,559,160802,559,160802,559,160802,559,160
  资本公积734,842.3734,842.336,912,425.3943,912,425.39
  盈余公积374,729,292.89374,729,292.89405,862,486.55407,714,513.45
  未分配利润944,771,546.1960,206,830.651,010,485,781.831,035,601,006.49
  归属于母公司股东权益合计2,122,794,841.292,138,230,125.842,255,819,853.772,289,787,105.33
  少数股东权益53,711,923.9756,228,419.5150,269,216.1562,676,314.89
  股东权益合计2,176,506,765.262,194,458,545.352,306,089,069.922,352,463,420.22
  负债和股东权益合计4,002,545,351.454,075,296,287.424,139,845,271.034,227,336,274.33
公告日期2025-10-312025-08-292025-04-292025-04-19
审计意见(境内)标准无保留意见
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