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银宝山新

(002786)

  

流通市值:45.41亿  总市值:45.55亿
流通股本:4.94亿   总股本:4.96亿

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143,749,344.95108,789,525.06131,074,465.4791,771,458.74
  结算备付金-0--
  拆出资金-0--
  应收票据及应收账款574,068,516.7514,907,659.9437,012,926.81500,062,651.17
  其中:应收票据122,999,041.3584,136,809.7389,142,939.5977,575,954.19
        应收账款451,069,475.35430,770,850.17347,869,987.22422,486,696.98
  应收款项融资17,129,405.3413,391,143.0823,952,144.8112,852,579.19
  预付款项36,623,914.834,401,344.7529,983,001.8333,180,170.62
  应收保费-00-
  应收分保账款-0--
  应收分保合同准备金-0--
  其他应收款合计20,759,630.1724,122,201.6930,236,709.1523,942,568.64
  其中:应收利息00-0
        应收股利00-0
  买入返售金融资产-0--
  存货725,117,472.7721,638,354.3740,501,945.82777,309,082.23
  合同资产40,000,00040,000,00040,000,00040,000,000
  其他流动资产25,379,044.0122,738,298.8516,633,265.6726,363,628.16
  流动资产合计1,582,827,328.671,479,988,527.631,449,394,459.561,505,482,138.75
非流动资产:
  发放委托贷款及垫款-0--
  长期股权投资453,783.391,271,924.112,043,118.433,097,539.57
  其他非流动金融资产42,293,042.1142,064,139.1542,671,612.3942,495,533.19
  固定资产1,027,567,041.851,037,314,086.481,054,645,983.371,078,034,755.26
  在建工程85,518,893.986,363,917.0388,721,172.2688,157,417.9
  使用权资产47,102,11735,233,195.8820,737,016.7123,740,664.08
  无形资产124,228,161.35124,851,129.39127,854,312.45129,748,268.82
  长期待摊费用14,236,155.516,467,265.0718,003,238.8818,731,568.88
  递延所得税资产28,654,279.7226,919,777.927,055,444.4526,044,395.18
  其他非流动资产681,406,977.6683,432,617.76692,349,646.3681,106,114.42
  非流动资产合计2,051,460,452.422,053,918,052.772,074,081,545.242,091,156,257.3
  资产总计3,634,287,781.093,533,906,580.43,523,476,004.83,596,638,396.05
流动负债:
  短期借款365,809,207.05367,755,218.96436,568,636.04421,403,487.25
  向中央银行借款-0--
  吸收存款及同业存放-0--
  拆入资金-0--
  应付票据及应付账款973,006,729.59983,895,248.06944,718,389.87994,401,989.57
  其中:应付票据249,077,350.85253,525,715.37273,605,548.3256,086,881.18
        应付账款723,929,378.74730,369,532.69671,112,841.57738,315,108.39
  合同负债284,203,936.82226,553,403.46271,794,715.41257,747,984.3
  卖出回购金融资产款-00-
  应付手续费及佣金-0--
  应付职工薪酬33,647,036.7842,812,777.2341,749,856.446,420,551.72
  应交税费20,105,578.0314,517,762.2112,313,637.9613,991,559.95
  其他应付款合计1,052,380,642.471,033,384,683.361,030,431,971.761,043,812,940.55
  其中:应付利息00-0
        应付股利5,430,0003,430,0003,430,0003,430,000
  应付分保账款-0--
  保险合同准备金-0--
  代理买卖证券款-0--
  代理承销证券款-0--
  一年内到期的非流动负债44,383,936.345,820,640.0636,723,886.6843,177,046
  其他流动负债108,109,687.9280,444,810.4981,805,048.4782,238,357.15
  流动负债合计2,881,646,754.962,795,184,543.832,856,106,142.592,903,193,916.49
非流动负债:
  长期借款331,489,140.44336,147,640.44266,488,857.42271,388,270.63
  优先股-0--
  永续债-0--
  租赁负债23,469,965.6817,552,873.715,693,265.277,668,372.14
  预计负债00181,658.4173,841.48
  递延收益192,823,150.13194,648,165.52196,311,855.21197,976,912.22
  递延所得税负债8,533,090.686,397,196.134,714,958.394,717,851.9
  非流动负债合计556,315,346.93554,745,875.8473,390,594.69481,925,248.37
  负债合计3,437,962,101.893,349,930,419.633,329,496,737.283,385,119,164.86
所有者权益(或股东权益):
  实收资本(或股本)495,612,000495,612,000495,612,000495,612,000
  其他权益工具-0--
  优先股-0--
  永续债-0--
  资本公积595,712,148.09595,712,148.09595,712,148.09595,712,148.09
  其他综合收益-6,923,974.23-8,294,835.98-8,604,370.67-8,887,545.36
  专项储备23,311,723.3921,300,237.0218,740,002.6116,739,910.29
  盈余公积107,777,971.87107,777,971.87107,777,971.87107,777,971.87
  一般风险准备-00-
  未分配利润-985,968,455.52-1,001,548,333.9-991,001,541.87-974,749,021.45
  归属于母公司股东权益合计229,521,413.6210,559,187.1218,236,210.03232,205,463.44
  少数股东权益-33,195,734.4-26,583,026.33-24,256,942.51-20,686,232.25
  股东权益合计196,325,679.2183,976,160.77193,979,267.52211,519,231.19
  负债和股东权益合计3,634,287,781.093,533,906,580.43,523,476,004.83,596,638,396.05
公告日期2025-10-282025-08-302025-04-292025-04-29
审计意见(境内)标准无保留意见
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