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顺威股份

(002676)

  

流通市值:62.13亿  总市值:62.14亿
流通股本:7.20亿   总股本:7.20亿

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374,573,231.01358,396,696.91437,466,461.58417,211,984.43
  衍生金融资产-36,200--
  应收票据及应收账款1,098,296,225.891,364,389,963.371,269,691,994.951,188,357,270.07
  其中:应收票据1,954,185.8615,062,087.4940,399,366.680,046,382.72
        应收账款1,096,342,040.031,349,327,875.881,229,292,628.351,108,310,887.35
  应收款项融资184,647,527.49101,253,078.5194,692,473.2195,064,003.9
  预付款项26,550,947.2633,608,379.8134,939,752.5331,336,123.22
  其他应收款合计7,610,792.786,123,308.156,781,481.845,367,496.94
  存货560,774,955554,464,838.91573,812,605.22646,594,766.32
  其他流动资产113,097,976.44111,750,077.8120,398,600.53115,823,640.68
  流动资产合计2,365,551,655.872,530,022,543.462,537,783,369.862,499,755,285.56
非流动资产:
  长期应收款4,022,396.374,417,567.585,053,327.556,173,035.34
  其他非流动金融资产31,326,991.4331,326,991.4331,326,991.4331,326,991.43
  固定资产647,212,294.6655,844,677.63659,363,502.56671,954,232.3
  在建工程35,638,887.4521,303,578.085,823,592.366,232,004.48
  使用权资产241,652,437.73243,760,295.55124,168,941.31132,915,582.37
  无形资产103,649,620.69105,138,108.44106,483,495.73107,513,321.27
  商誉158,444,823.69158,444,823.69158,444,823.69158,444,823.69
  长期待摊费用58,645,373.0152,053,201.948,130,587.4739,634,297.48
  递延所得税资产68,340,067.7865,551,139.0467,669,675.7967,717,818.99
  其他非流动资产20,277,243.5421,278,273.5915,040,115.0211,973,211.28
  非流动资产合计1,369,210,136.291,359,118,656.931,221,505,052.911,233,885,318.63
  资产总计3,734,761,792.163,889,141,200.393,759,288,422.773,733,640,604.19
流动负债:
  短期借款590,338,280.21613,621,200.96753,016,474.28854,879,076.3
  衍生金融负债47,66510,430--
  应付票据及应付账款550,546,151.94713,856,624.95684,590,601.5689,308,264.15
  其中:应付票据173,258,842.47276,480,478.59233,956,810.81188,167,177.53
        应付账款377,287,309.47437,376,146.36450,633,790.69501,141,086.62
  合同负债19,565,996.719,472,336.6923,689,657.2117,941,148.02
  应付职工薪酬55,229,795.0747,897,309.3966,157,035.7859,735,559.76
  应交税费13,524,370.6215,240,341.0723,412,900.519,607,206.65
  其他应付款合计5,664,426.884,116,034.614,179,766.575,242,416.86
  一年内到期的非流动负债297,751,988.52287,652,553.95169,508,819.48101,692,078.57
  其他流动负债19,877,400.9127,390,815.2939,864,083.5723,776,925.45
  流动负债合计1,552,546,075.851,729,257,646.911,764,419,338.891,772,182,675.76
非流动负债:
  长期借款494,925,462479,917,288473,399,114456,665,940
  租赁负债224,390,317.78224,622,898.09106,470,979.34111,859,187.53
  预计负债2,186,576.761,630,791.312,485,822.321,200,091.76
  递延收益30,893,921.2731,452,590.8432,441,152.4236,418,971.97
  递延所得税负债3,603,792.573,128,550.453,616,483.013,915,033.67
  非流动负债合计756,000,070.38740,752,118.69618,413,551.09610,059,224.93
  负债合计2,308,546,146.232,470,009,765.62,382,832,889.982,382,241,900.69
所有者权益(或股东权益):
  实收资本(或股本)720,000,000720,000,000720,000,000720,000,000
  资本公积76,259,895.8876,259,895.8875,769,473.2675,769,473.26
  其他综合收益7,720,647.45,769,374.64-6,023,003.07-6,261,762.35
  盈余公积44,225,390.1444,225,390.1444,225,390.1444,225,390.14
  未分配利润455,686,240.64453,506,248.25427,305,781.38404,145,588.56
  归属于母公司股东权益合计1,303,892,174.061,299,760,908.911,261,277,641.711,237,878,689.61
  少数股东权益122,323,471.87119,370,525.88115,177,891.08113,520,013.89
  股东权益合计1,426,215,645.931,419,131,434.791,376,455,532.791,351,398,703.5
  负债和股东权益合计3,734,761,792.163,889,141,200.393,759,288,422.773,733,640,604.19
公告日期2025-10-252025-08-192025-04-252025-04-15
审计意见(境内)标准无保留意见
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