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视源股份

(002841)

  

流通市值:189.67亿  总市值:253.21亿
流通股本:5.21亿   总股本:6.96亿

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2,878,381,532.243,062,469,088.714,904,076,707.823,691,910,326.15
  交易性金融资产1,243,759,198.99130,115,987.44310,073,282.69255,170,791.1
  衍生金融资产13,843,45021,841,03022,990,42014,143,830
  应收票据及应收账款652,708,335.12624,492,863.16448,037,706.05482,176,970.42
  其中:应收票据76,277,836.0548,824,215.8827,930,992.7270,353,703.34
        应收账款576,430,499.07575,668,647.28420,106,713.33411,823,267.08
  应收款项融资89,647,676.36211,851,253.4833,893,811.79198,755,011.5
  预付款项62,205,108.8376,052,522.6858,907,766.7160,099,962.84
  其他应收款合计86,003,080.1973,909,165.73130,840,137.4984,515,680.48
  其中:应收利息--27,876,944.45-
        应收股利99,710.77---
  存货3,848,159,898.542,636,703,452.152,314,804,488.72,746,057,617.2
  一年内到期的非流动资产810,211,618.78532,742,178.7588,291,587.49510,557,627.64
  其他流动资产567,271,567.84748,231,087.09475,579,414.52,059,336,942.61
  流动资产合计10,252,191,466.898,118,408,629.149,287,495,323.2410,102,724,759.94
非流动资产:
  债权投资7,361,763,987.247,596,675,051.786,422,877,766.856,103,296,708.11
  长期股权投资323,012,773.63311,665,547.18319,496,370.91320,671,847.56
  其他权益工具投资69,759,394.8371,714,111.4971,907,73070,740,989.16
  其他非流动金融资产238,588,626.92238,345,650.39236,488,474.79236,305,569.09
  固定资产3,815,544,445.753,908,010,143.433,634,002,178.073,059,440,413.31
  在建工程681,068,626.74602,651,939.13807,065,780.651,307,800,104.96
  使用权资产40,816,778.2545,585,645.1846,427,646.5250,086,021
  无形资产997,199,894.32713,042,401.75685,977,287.71688,168,583.53
  开发支出2,557,084.67---
  商誉266,272,002.47266,272,002.47262,381,037.37252,852,574.58
  长期待摊费用89,660,786.9287,853,495.4109,359,637.61101,591,950.52
  递延所得税资产509,064,072.21475,154,510.16456,087,223.37474,967,283.56
  其他非流动资产46,969,322.42326,583,928.02330,714,756.8345,031,217.42
  非流动资产合计14,442,277,796.3714,643,554,426.3813,382,785,890.6513,010,953,262.8
  资产总计24,694,469,263.2622,761,963,055.5222,670,281,213.8923,113,678,022.74
流动负债:
  短期借款3,707,404,143.092,579,405,529.952,707,675,109.62,977,124,048.61
  衍生金融负债-8,148,25217,061,6801,694,476.79
  应付票据及应付账款4,625,806,881.653,532,242,327.883,046,916,504.023,557,012,088.58
  其中:应付票据254,919,872.3494,854,556.71137,338,323.55270,760,722.06
        应付账款4,370,887,009.313,437,387,771.172,909,578,180.473,286,251,366.52
  合同负债1,297,265,295.341,162,791,658.931,211,943,570.231,126,238,748.47
  应付职工薪酬276,819,784.96228,271,269.13477,357,721.83356,967,113.57
  应交税费65,504,345.1550,830,040.74133,397,699.31131,726,193.93
  其他应付款合计752,578,288.99732,884,979.33867,121,724.72908,274,999.71
        应付股利-1,137,515.41--
  一年内到期的非流动负债330,061,854.61448,605,461.63154,196,978.4724,319,940.65
  其他流动负债111,385,747.3985,112,639.7670,027,822.9672,596,243.35
  流动负债合计11,166,826,341.188,828,292,159.358,685,698,811.149,155,953,853.66
非流动负债:
  长期借款138,787,234.07305,744,521.83564,033,469.02497,250,306.19
  租赁负债23,430,245.5326,517,808.8626,365,443.7131,232,383.79
  预计负债76,779,048.92110,173,533.99117,556,276.44254,856,789.81
  递延收益147,066,906.93137,209,643.5127,093,093.34107,566,651.68
  递延所得税负债24,005,785.1125,392,041.8124,497,266.351,001,910.65
  非流动负债合计410,069,220.56605,037,549.99859,545,548.81941,908,042.12
  负债合计11,576,895,561.749,433,329,709.349,545,244,359.9510,097,861,895.78
所有者权益(或股东权益):
  实收资本(或股本)696,016,545696,016,545696,016,545696,016,545
  资本公积3,790,262,561.533,772,291,671.463,754,603,755.513,903,201,531.16
  减:库存股186,732,054.96186,732,054.96186,732,054.96349,626,963.01
  其他综合收益59,701,629.9565,180,758.0767,044,972.5757,708,896.94
  盈余公积350,619,522.5350,619,522.5350,619,522.5350,619,522.5
  未分配利润7,940,286,270.518,176,108,690.138,014,157,922.087,959,273,032.11
  归属于母公司股东权益合计12,650,154,474.5312,873,485,132.212,695,710,662.712,617,192,564.7
  少数股东权益467,419,226.99455,148,213.98429,326,191.24398,623,562.26
  股东权益合计13,117,573,701.5213,328,633,346.1813,125,036,853.9413,015,816,126.96
  负债和股东权益合计24,694,469,263.2622,761,963,055.5222,670,281,213.8923,113,678,022.74
公告日期2025-08-272025-04-242025-04-242024-10-24
审计意见(境内)标准无保留意见
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