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精艺股份

(002295)

  

流通市值:31.56亿  总市值:31.60亿
流通股本:2.50亿   总股本:2.51亿

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489,913,961.14379,767,259.02242,200,911.88375,795,616.37
  衍生金融资产8,465,10112,219,134.57,050,07414,484,717.5
  应收票据及应收账款940,256,928.751,064,728,917.751,008,210,122.02893,502,102.8
  其中:应收票据56,064,341.64110,293,787.9943,196,841.2653,474,939.09
        应收账款884,192,587.11954,435,129.76965,013,280.76840,027,163.71
  应收款项融资102,103,089.87106,925,546.2462,501,415.717,468,507.57
  预付款项16,265,367.276,635,478.924,079,682.061,081,582.75
  其他应收款合计27,207,643.8326,179,956.8223,546,615.621,400,965.85
  存货249,932,752.96214,876,078.07230,491,799.19128,023,373.44
  一年内到期的非流动资产32,289,858.524,789,858.511,250,00015,000,000
  其他流动资产17,682,109.1323,614,220.3318,044,305.9813,278,427.78
  流动资产合计1,884,116,812.451,859,736,450.131,627,374,926.441,470,035,294.06
非流动资产:
  长期股权投资4,415,730.292,971,561.282,045,852.082,091,280.29
  投资性房地产206,118,911.71189,549,340.23178,133,230.26170,631,356.22
  固定资产224,636,531.64228,496,328.83238,548,222.16199,200,294.72
  在建工程36,481,301.7736,390,520.4624,177,984.6349,658,839.75
  使用权资产40,126,225.7641,950,425.7743,587,688.4636,588,888.85
  无形资产28,272,932.9828,526,258.7332,627,027.2235,098,961.01
  长期待摊费用1,933,536.742,307,858.892,340,639.392,616,612.97
  递延所得税资产45,548,514.9842,470,715.0937,040,968.536,366,208.94
  其他非流动资产51,899,214.6458,282,501.2473,488,946.486,189,409.49
  非流动资产合计639,432,900.51630,945,510.52631,990,559.1618,441,852.24
  资产总计2,523,549,712.962,490,681,960.652,259,365,485.542,088,477,146.3
流动负债:
  短期借款470,658,635.27445,164,279.62458,494,547.42396,714,432.73
  应付票据及应付账款541,562,686.76491,576,834.84296,885,790.29178,340,299.82
  其中:应付票据297,500,000295,000,000141,000,00085,000,000
        应付账款244,062,686.76196,576,834.84155,885,790.2993,340,299.82
  合同负债6,124,771.212,343,609.127,035,036.866,711,778.64
  应付职工薪酬5,496,112.715,348,643.625,103,343.888,315,729.31
  应交税费6,198,317.296,473,355.424,199,348.028,476,365.27
  其他应付款合计12,304,674.1824,104,750.6511,229,879.913,654,264.21
        应付股利-9,022,176--
  一年内到期的非流动负债11,569,081.5111,769,316.4510,945,000.0510,656,763.18
  其他流动负债14,774,95548,311,363.31,514,554.7915,333,086.94
  流动负债合计1,068,689,233.931,035,092,153.02795,407,501.21638,202,720.1
非流动负债:
  长期借款20,269,215.2720,624,450.8621,703,833.8219,666,506.21
  租赁负债35,020,540.936,459,94538,100,789.9332,950,203.6
  递延收益20,146,100.4420,921,951.2621,697,802.0822,473,652.9
  递延所得税负债19,780,558.8719,561,685.0417,850,625.918,368,009.59
  非流动负债合计95,216,415.4897,568,032.1699,353,051.7393,458,372.3
  负债合计1,163,905,649.411,132,660,185.18894,760,552.94731,661,092.4
所有者权益(或股东权益):
  实收资本(或股本)250,616,000250,616,000250,616,000250,616,000
  资本公积616,998,707.78616,998,707.78616,998,707.78616,998,707.78
  其他综合收益-3,483,424.79-670,172.98886,613.861,295,600.83
  专项储备4,900,525.364,293,894.853,676,474.383,037,113.71
  盈余公积38,773,355.4238,773,355.4238,773,355.4238,773,355.42
  未分配利润445,032,850.79441,774,597.8447,661,986.8439,937,688.77
  归属于母公司股东权益合计1,352,838,014.561,351,786,382.871,358,613,138.241,350,658,466.51
  少数股东权益6,806,048.996,235,392.65,991,794.366,157,587.39
  股东权益合计1,359,644,063.551,358,021,775.471,364,604,932.61,356,816,053.9
  负债和股东权益合计2,523,549,712.962,490,681,960.652,259,365,485.542,088,477,146.3
公告日期2025-10-292025-08-262025-04-262025-04-26
审计意见(境内)标准无保留意见
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