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慈文传媒

(002343)

  

流通市值:37.47亿  总市值:37.47亿
流通股本:4.75亿   总股本:4.75亿

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192,699,539.06132,842,461.1198,036,051.56132,700,317.26
  交易性金融资产7,500,00037,500,00030,000,00025,349,056.62
  衍生金融资产5,519,366.675,519,366.675,519,366.67-
  应收票据及应收账款413,735,832.23465,897,615.34305,445,631.26195,309,588.33
  其中:应收票据-155,594.22155,594.22-
        应收账款413,735,832.23465,742,021.12305,290,037.04195,309,588.33
  预付款项23,030,011.0723,023,372.1922,708,889.2459,756,264.37
  其他应收款合计9,878,773.1310,137,790.576,798,553.215,677,466.35
  存货719,964,444.44649,748,216.99729,896,853.47664,206,219.96
  一年内到期的非流动资产---202,862,448.47
  其他流动资产50,026,303.5945,027,974.4945,804,602.7947,879,006.41
  流动资产合计1,422,354,270.191,369,696,797.351,344,209,948.21,333,740,367.77
非流动资产:
  债权投资6,533,172.452,600,0002,600,0005,900,000
  长期股权投资24,287,096.9324,287,096.9324,287,096.9324,922,990.97
  其他权益工具投资8,877,371.728,877,371.728,877,371.729,452,776.18
  其他非流动金融资产169,457,503.89169,457,503.89139,457,503.89-
  投资性房地产15,787,778.6216,132,219.8716,476,661.1217,146,399.13
  固定资产746,517.73782,725.8803,790.68805,169.72
  使用权资产---764,949.52
  无形资产141,333.3149,813.31158,293.32166,773.33
  长期待摊费用14,678.4623,485.4432,292.4241,099.4
  递延所得税资产85,074,313.7580,895,850.6781,350,863.882,088,194.39
  其他非流动资产55,660.3855,660.38225,660.38-
  非流动资产合计310,975,427.23303,261,728.01274,269,534.26141,288,352.64
  资产总计1,733,329,697.421,672,958,525.361,618,479,482.461,475,028,720.41
流动负债:
  短期借款251,967,034.95262,291,542.41244,236,423.18159,852,430.05
  应付票据及应付账款171,643,202.91186,011,383.28215,497,905.5797,562,115.42
        应付账款171,643,202.91186,011,383.28215,497,905.5797,562,115.42
  预收款项23,962,264.2423,962,264.2423,962,264.2423,679,245.37
  合同负债200,650,672.76130,409,721.9185,005,389.74196,311,934.44
  应付职工薪酬2,603,823.092,705,981.623,472,719.041,013,460.14
  应交税费8,550,643.78,439,528.3610,187,939.647,800,887.67
  其他应付款合计4,685,693.156,274,846.157,658,806.264,379,212.18
  一年内到期的非流动负债66,649.9947,361.1125,833.33772,240.86
  其他流动负债12,000,090.497,785,633.445,061,373.5111,778,716.07
  流动负债合计676,130,075.28627,928,262.52595,108,654.51503,150,242.2
非流动负债:
  长期借款87,400,00050,000,00030,000,000-
  递延收益330,188.68330,188.68330,188.68-
  递延所得税负债3,190,029.823,190,029.823,190,029.823,606,442.43
  非流动负债合计90,920,218.553,520,218.533,520,218.53,606,442.43
  负债合计767,050,293.78681,448,481.02628,628,873.01506,756,684.63
所有者权益(或股东权益):
  实收资本(或股本)601,572,239.36601,572,239.36601,572,239.36601,572,239.36
  资本公积852,081,186.28852,081,186.28851,959,916.23851,959,916.23
  其他综合收益3,723,818.463,782,522.423,799,844.54,100,902.52
  盈余公积38,817,098.638,817,098.638,817,098.638,817,098.6
  未分配利润-522,288,591.19-497,181,169.29-499,208,152.67-518,147,039.87
  归属于母公司股东权益合计973,905,751.51999,071,877.37996,940,946.02978,303,116.84
  少数股东权益-7,626,347.87-7,561,833.03-7,090,336.57-10,031,081.06
  股东权益合计966,279,403.64991,510,044.34989,850,609.45968,272,035.78
  负债和股东权益合计1,733,329,697.421,672,958,525.361,618,479,482.461,475,028,720.41
公告日期2025-08-272025-04-302025-04-102024-10-30
审计意见(境内)标准无保留意见
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