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康达新材

(002669)

  

流通市值:45.04亿  总市值:45.15亿
流通股本:3.03亿   总股本:3.03亿

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622,883,455.74533,653,101.78495,660,929.09799,834,198.31
  应收票据及应收账款3,758,415,969.343,184,425,736.062,301,340,390.982,091,257,410.31
  其中:应收票据1,063,202,297872,367,885.87266,700,534.77213,466,646.22
        应收账款2,695,213,672.342,312,057,850.192,034,639,856.211,877,790,764.09
  应收款项融资91,946,015.6591,981,865.42208,971,494.43247,852,615.81
  预付款项41,268,972.0431,717,958.8832,868,552.0720,329,269.33
  其他应收款合计121,326,006122,967,388.4616,975,655.72170,367,423.35
  存货651,410,897.94572,452,263.46619,751,020.17545,690,424.46
  一年内到期的非流动资产-2,933,942.19--
  其他流动资产86,459,079.5594,813,460.6294,424,624.9895,304,626.36
  流动资产合计5,373,710,396.264,634,945,716.873,769,992,667.443,970,635,967.93
非流动资产:
  长期应收款-5,077,153.01--
  长期股权投资405,693,254.08351,999,701.67190,925,166.57164,801,553.23
  其他权益工具投资76,930,278.4376,930,278.4376,930,278.4376,930,278.43
  其他非流动金融资产30,000,00030,000,00030,000,00030,000,000
  投资性房地产0--4,606,245.07
  固定资产1,561,881,061.271,588,577,070.471,497,341,452.781,116,686,210.01
  在建工程295,617,059.58250,282,333.77318,514,634.19715,274,766.37
  使用权资产32,519,967.0534,827,782.9642,016,182.0543,822,598.38
  无形资产337,024,251.06319,938,510.28320,537,081.21328,426,810.26
  商誉295,315,276.49295,315,276.49437,307,088.79437,307,088.79
  长期待摊费用2,050,652.819,512,458.8910,500,360.5711,153,418.45
  递延所得税资产33,887,264.1829,534,228.9431,196,471.4330,783,862.4
  其他非流动资产52,421,580.1363,747,262.8522,099,433.139,721,396.37
  非流动资产合计3,123,340,645.083,055,742,057.762,977,368,149.152,969,514,227.76
  资产总计8,497,051,041.347,690,687,774.636,747,360,816.596,940,150,195.69
流动负债:
  短期借款1,441,049,888.571,320,770,560.581,070,196,811.341,042,105,372.47
  应付票据及应付账款2,430,903,569.11,922,404,807.571,530,028,685.161,512,230,169.5
  其中:应付票据557,191,646.63418,449,349.1449,338,097.2570,729,889.37
        应付账款1,873,711,922.471,503,955,458.471,080,690,587.96941,500,280.13
  预收款项92,167,479.1242,167,479.12178,176.1270,466,949.54
  合同负债39,823,962.3837,883,703.27120,156,064.2335,733,227.19
  应付职工薪酬33,320,278.8925,812,999.2825,049,856.5728,152,568.31
  应交税费48,336,978.2934,632,212.2832,686,650.8429,329,634.98
  其他应付款合计12,093,078.8611,981,632.549,858,085.2814,836,889.8
  一年内到期的非流动负债218,240,281.53261,808,331.64359,701,421.02390,026,280.2
  其他流动负债530,204,166.34442,739,542.1865,978,027.0771,677,995.81
  流动负债合计4,846,139,683.084,100,201,268.463,213,833,777.633,194,559,087.8
非流动负债:
  长期借款712,594,228.51674,901,600.92560,844,522.99772,284,891.01
  租赁负债13,940,324.3221,400,834.8928,366,358.9328,298,928.75
  长期应付款3,500,0005,250,0007,000,0000
  长期应付职工薪酬1,860,041.351,860,041.351,860,041.351,860,041.35
  预计负债0-300,000300,000
  递延收益3,232,260.063,411,971.048,399,284.149,129,032.43
  递延所得税负债28,042,845.2929,379,922.4428,850,863.9328,000,105.08
  非流动负债合计763,169,699.53736,204,370.64635,621,071.34839,872,998.62
  负债合计5,609,309,382.614,836,405,639.13,849,454,848.974,034,432,086.42
所有者权益(或股东权益):
  实收资本(或股本)303,400,000303,400,000303,400,000303,400,000
  资本公积1,904,733,286.581,903,361,741.661,899,511,291.591,896,197,496.76
  减:库存股124,405,443.73124,405,443.7336,909,368.7323,668,633.73
  其他综合收益417,202.78367,147.4446,738.51142,776.11
  专项储备0-5,703,235.85,780,493.42
  盈余公积100,772,493.37100,772,493.37100,772,493.37100,772,493.37
  一般风险准备0--0
  未分配利润529,318,100.23496,443,317.86451,641,506.26445,269,663.28
  归属于母公司股东权益合计2,714,235,639.232,679,939,256.562,724,565,896.82,727,894,289.21
  少数股东权益173,506,019.5174,342,878.97173,340,070.82177,823,820.06
  股东权益合计2,887,741,658.732,854,282,135.532,897,905,967.622,905,718,109.27
  负债和股东权益合计8,497,051,041.347,690,687,774.636,747,360,816.596,940,150,195.69
公告日期2025-10-282025-08-272025-04-292025-04-22
审计意见(境内)标准无保留意见
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