当前位置:首页 - 行情中心 - 润邦股份(002483) - 财务分析 - 资产负债表

润邦股份

(002483)

  

流通市值:59.13亿  总市值:59.22亿
流通股本:8.85亿   总股本:8.86亿

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4,308,534,203.044,291,461,819.413,746,530,007.093,648,726,106.26
  交易性金融资产212,699,7687,089,69039,630,000135,500,000
  衍生金融资产541,637.77500,493.75--
  应收票据及应收账款1,152,318,011.061,149,947,571.491,250,726,807.051,185,512,116.79
  其中:应收票据153,633,210.22130,211,782.9211,087,519.5227,251,948.7
        应收账款998,684,800.841,019,735,788.591,039,639,287.55958,260,168.09
  应收款项融资33,250,810.1320,550,861.0717,642,183.9610,008,382.62
  预付款项808,418,109.25839,305,182.2743,592,385.82541,851,191.89
  其他应收款合计89,251,289.1386,987,420.3690,066,049.3686,381,117.86
        应收股利--1,709,310.971,709,310.97
  存货1,781,346,994.761,570,484,674.51,295,025,547.671,101,266,209.74
  合同资产312,790,254.32212,388,889.06531,195,438.2240,217,670.77
  一年内到期的非流动资产36,372,789.9438,814,055.6326,443,172.3721,098,640.53
  其他流动资产436,377,921.88415,116,855.54279,817,563.38349,062,791.18
  流动资产合计9,171,901,789.288,632,647,513.018,020,669,154.97,319,624,227.64
非流动资产:
  长期应收款67,462,217.8770,578,347.6477,082,433.5691,440,668.94
  长期股权投资63,382,703.2963,158,677.0664,877,342.7263,368,854.72
  其他权益工具投资3,029,955.573,029,955.573,029,955.573,029,955.57
  其他非流动金融资产15,000,00015,387,116.0115,000,00015,536,035.38
  固定资产1,875,727,120.571,909,892,1021,942,903,857.51,974,224,496.64
  在建工程282,075,444.49232,277,532.9210,101,120.59207,382,148.75
  使用权资产149,657,272.9625,855,731.3422,264,113.523,486,569.1
  无形资产494,876,938.64498,940,091.94498,538,792.46502,282,771.31
  商誉193,941,999.59193,941,999.59193,941,999.59193,941,999.59
  长期待摊费用11,742,223.2410,447,788.7210,580,842.6611,109,808.19
  递延所得税资产162,068,233.26144,300,601.02148,169,810.15153,968,444.8
  其他非流动资产27,154,016.8629,045,370.3924,926,547.6316,904,647.88
  非流动资产合计3,346,118,126.343,196,855,314.183,211,416,815.933,256,676,400.87
  资产总计12,518,019,915.6211,829,502,827.1911,232,085,970.8310,576,300,628.51
流动负债:
  短期借款949,619,736.48795,332,068.09791,566,239.71704,803,018.28
  交易性金融负债12,328,039.0817,796,9166,300,138.9303,639.37
  衍生金融负债24,794,351.7728,081,224.6413,342,385.9612,562,119.1
  应付票据及应付账款2,447,903,457.762,349,112,198.532,588,474,965.032,252,279,424.98
  其中:应付票据488,875,637.96448,491,447.43450,020,614.34371,383,003.33
        应付账款1,959,027,819.81,900,620,751.12,138,454,350.691,880,896,421.65
  合同负债2,432,789,596.262,356,192,821.171,578,308,776.971,384,193,878.55
  应付职工薪酬156,415,274.78140,733,372.68143,479,475.17199,675,130.78
  应交税费158,326,961.23131,094,303.15102,191,790.54150,250,780.62
  其他应付款合计118,374,156.83118,275,279.51117,813,466.23116,865,356.73
        应付股利4,257,148.914,290,125.917,366,844.7310,504,339.41
  一年内到期的非流动负债78,028,706.6162,267,303.39120,699,978.83153,127,495.61
  其他流动负债25,631,682.4423,810,666.4816,178,010.7513,174,100.82
  流动负债合计6,404,211,963.246,022,696,153.645,478,355,228.094,987,234,944.84
非流动负债:
  长期借款265,267,978.39179,590,915.99138,838,760.77113,080,258.12
  租赁负债141,470,676.3121,364,429.2818,913,830.7919,574,490.91
  长期应付款40,750,457.3828,205,394.4827,037,289.8531,813,957.53
  预计负债138,522,901.05137,950,792.24118,035,151.43115,767,161.04
  递延收益66,057,983.4767,421,582.4768,374,181.4669,737,780.46
  递延所得税负债474,966,922.71443,905,122.81391,753,211.49365,657,384.76
  非流动负债合计1,127,036,919.31878,438,237.27762,952,425.79715,631,032.82
  负债合计7,531,248,882.556,901,134,390.916,241,307,653.885,702,865,977.66
所有者权益(或股东权益):
  实收资本(或股本)886,468,413886,468,413886,468,413886,468,413
  资本公积2,231,287,970.112,231,287,970.112,231,287,970.112,231,287,970.11
  其他综合收益24,550,458.8623,737,184.14-7,101,589.54-20,040,080.31
  专项储备28,015,005.5429,159,428.5526,807,192.9323,506,814.22
  盈余公积130,182,186.53130,182,186.53130,182,186.53130,182,186.53
  未分配利润1,085,549,601.981,024,456,091.421,198,575,798.971,129,362,680.52
  归属于母公司股东权益合计4,386,053,636.024,325,291,273.754,466,219,9724,380,767,984.07
  少数股东权益600,717,397.05603,077,162.53524,558,344.95492,666,666.78
  股东权益合计4,986,771,033.074,928,368,436.284,990,778,316.954,873,434,650.85
  负债和股东权益合计12,518,019,915.6211,829,502,827.1911,232,085,970.8310,576,300,628.51
公告日期2025-10-302025-08-262025-04-292025-04-29
审计意见(境内)标准无保留意见
TOP↑