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桂林三金

(002275)

  

流通市值:84.64亿  总市值:88.96亿
流通股本:5.59亿   总股本:5.88亿

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1,077,928,460.291,048,460,795.41,552,460,272.41,049,601,773.61
  交易性金融资产636,300,282.24611,203,698.67422,287,620.7626,146,300.49
  应收票据及应收账款221,176,520.62244,048,333.67204,033,992.7286,439,552.21
        应收账款221,176,520.62244,048,333.67204,033,992.7286,439,552.21
  应收款项融资135,035,247.07100,719,501.5271,876,839.41440,862,988.56
  预付款项57,118,677.4424,830,804.8149,191,381.119,118,609.85
  其他应收款合计132,327,438.14136,797,311.14132,808,690.73118,056,362.62
  存货230,927,504.05221,321,881.08223,354,485.22208,293,849.54
  其他流动资产16,363,971.5615,697,722.18,845,745.116,062,334.64
  流动资产合计2,507,178,101.412,403,080,048.372,864,859,027.382,564,581,771.52
非流动资产:
  长期股权投资7,937,116.118,594,328.669,182,171.629,812,952.92
  其他权益工具投资140,623,178.05123,946,673.35102,909,528.9484,638,134.59
  固定资产970,017,242.14975,216,785.03987,482,181.041,000,809,419.75
  在建工程96,958,288.6286,658,478.5479,125,165.6469,537,461.08
  使用权资产29,038,967.9831,732,065.6833,550,128.2440,505,785.31
  无形资产136,394,727.27137,834,869139,342,874.97141,546,066.88
  商誉5,698,507.285,698,507.285,698,507.285,698,507.28
  长期待摊费用97,329,975.7598,826,436.76100,325,233.2102,437,412.39
  递延所得税资产10,130,682.1610,130,682.1610,130,682.1610,200,869
  其他非流动资产298,463,777.78348,064,083.33-202,441,958.33
  非流动资产合计1,792,592,463.141,826,702,909.791,467,746,473.091,667,628,567.53
  资产总计4,299,770,564.554,229,782,958.164,332,605,500.474,232,210,339.05
流动负债:
  短期借款378,498,624.95390,463,763.82390,210,388.85325,255,861.1
  应付票据及应付账款87,296,137.5893,390,655.38182,308,964.83191,545,185.48
        应付账款87,296,137.5893,390,655.38182,308,964.83191,545,185.48
  合同负债23,836,415.0912,885,290.8912,412,658.5398,058,992.56
  应付职工薪酬14,357,501.3612,564,760.6810,133,203.8933,140,834.48
  应交税费50,990,556.6257,817,767.3176,266,924.2164,297,051.33
  其他应付款合计159,616,333.15196,175,439.39170,306,849.83152,791,452.05
  一年内到期的非流动负债84,655,593.5796,149,898.67116,570,854.55118,014,639.47
  其他流动负债2,465,930.941,352,578.091,011,524.5712,353,936.03
  流动负债合计801,717,093.26860,800,154.23959,221,369.26995,457,952.5
非流动负债:
  长期借款144,580,000126,000,000128,900,000121,500,000
  租赁负债28,168,767.0830,652,241.0825,032,317.5528,858,496.21
  预计负债13,324,793.2413,324,793.2413,324,793.2413,324,793.24
  递延收益66,977,680.1568,918,233.5673,271,784.9563,145,457.39
  递延所得税负债77,701.8677,701.8677,701.86147,888.7
  非流动负债合计253,128,942.33238,972,969.74240,606,597.6226,976,635.54
  负债合计1,054,846,035.591,099,773,123.971,199,827,966.861,222,434,588.04
所有者权益(或股东权益):
  实收资本(或股本)587,568,600587,568,600587,568,600587,568,600
  资本公积672,089,846.22672,089,846.22672,089,846.22672,089,846.22
  其他综合收益24,485,867.787,934,760.26-12,937,314.31-31,122,868.72
  盈余公积325,497,046.54325,497,046.54325,497,046.54325,497,046.54
  未分配利润1,635,283,168.421,536,919,581.171,560,559,355.161,455,743,126.97
  归属于母公司股东权益合计3,244,924,528.963,130,009,834.193,132,777,533.613,009,775,751.01
  股东权益合计3,244,924,528.963,130,009,834.193,132,777,533.613,009,775,751.01
  负债和股东权益合计4,299,770,564.554,229,782,958.164,332,605,500.474,232,210,339.05
公告日期2025-10-302025-08-292025-04-262025-04-26
审计意见(境内)标准无保留意见
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