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今飞凯达

(002863)

  

流通市值:32.13亿  总市值:32.13亿
流通股本:5.99亿   总股本:5.99亿

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668,858,022.3694,524,794.34616,664,329.36623,667,566.98
  交易性金融资产782,141.95759,610.97676,570.881,187,631.24
  应收票据及应收账款854,365,437.71786,882,570.43727,780,077.25669,752,826.36
  其中:应收票据157,637,710.59157,582,590.86106,468,722.9910,450,000
        应收账款696,727,727.12629,299,979.57621,311,354.26659,302,826.36
  应收款项融资137,667,732.31112,160,938.65176,452,657.36203,719,819.35
  预付款项141,161,880.68147,394,842.87141,892,926.56108,190,730.65
  其他应收款合计33,808,247.9133,867,174.4430,125,293.2458,770,159.26
  存货1,971,096,789.541,896,819,112.431,638,363,958.451,826,953,473.45
  一年内到期的非流动资产3,929,711.674,650,0004,650,000-
  其他流动资产115,657,388.6996,517,883.1588,176,347.45159,725,107.23
  流动资产合计3,949,173,545.753,795,423,120.273,446,628,353.543,673,813,507.51
非流动资产:
  长期应收款29,674,425.4721,148,089.0520,418,465.9719,696,593.2
  投资性房地产290,705,024.55292,005,737.63295,679,574.86296,951,307.07
  固定资产3,164,484,885.923,125,201,379.713,202,300,252.272,802,742,132.97
  在建工程1,105,377,962.63946,408,095.11688,993,746.27675,028,977.89
  使用权资产22,641,229.7527,645,831.4226,183,633.952,425,049.63
  无形资产271,127,108.34272,210,471.96274,111,726.13277,592,373.33
  商誉18,331.7818,331.7818,331.7818,331.78
  长期待摊费用97,337,581.9395,366,458.3488,619,625.6571,207,043.3
  递延所得税资产122,848,788.13103,772,011.69104,364,078.3394,034,780.18
  其他非流动资产127,000127,000127,000127,000
  非流动资产合计5,104,342,338.54,883,903,406.694,700,816,435.214,239,823,589.35
  资产总计9,053,515,884.258,679,326,526.968,147,444,788.757,913,637,096.86
流动负债:
  短期借款2,707,550,491.122,440,047,283.222,488,805,860.792,722,657,448.22
  交易性金融负债56,993.4756,993.47114,354.61-
  应付票据及应付账款1,192,993,271.91,117,882,494.88790,442,761.5739,642,564.87
  其中:应付票据129,572,309.67217,620,592.93114,854,763.51146,131,950.34
        应付账款1,063,420,962.23900,261,901.95675,587,997.99593,510,614.53
  预收款项2,011,027.122,965,958.623,601,178.95,850,933.54
  合同负债26,358,802.8424,163,934.7217,717,237.4220,748,133.2
  应付职工薪酬13,563,397.4512,514,695.5324,629,026.315,772,299.56
  应交税费21,321,028.425,947,108.3736,140,585.8326,847,245.87
  其他应付款合计48,323,875.7744,152,840.5734,215,361.7338,862,461.78
        应付股利122,570122,570-45,610.2
  一年内到期的非流动负债746,330,542.75997,236,262.33699,683,060.49427,152,226.35
  其他流动负债1,560,273.2858,543.73583,738.471,343,943.86
  流动负债合计4,760,069,704.024,665,826,115.444,095,933,166.043,998,877,257.25
非流动负债:
  长期借款981,198,218.97837,738,027.31650,144,774.31608,715,508.08
  应付债券0-195,750,923.39192,004,340.24
  租赁负债17,305,843.9827,864,982.6819,491,900.171,392,467.26
  长期应付款250,367,006.42114,223,178.16170,411,537.11136,385,481.3
  递延收益217,747,206.42225,590,633.87230,600,728210,967,643.48
  递延所得税负债15,032,620.6119,626,763.8623,656,413.16745,463.34
  非流动负债合计1,481,650,896.41,225,043,585.881,290,056,276.141,150,210,903.7
  负债合计6,241,720,600.425,890,869,701.325,385,989,442.185,149,088,160.95
所有者权益(或股东权益):
  实收资本(或股本)599,483,554599,483,554598,660,921598,655,104
  其他权益工具0-17,688,649.5417,691,542.38
  资本公积1,232,854,809.651,232,411,238.171,210,740,737.581,210,042,338.19
  其他综合收益33,378,138.0920,458,509.6223,395,552.3733,562,792.82
  盈余公积70,621,807.2170,621,807.2170,621,807.2169,254,493.88
  未分配利润868,670,430.61858,804,943.57833,449,073.7828,399,124.23
  归属于母公司股东权益合计2,805,008,739.562,781,780,052.572,754,556,741.42,757,605,395.5
  少数股东权益6,786,544.276,676,773.076,898,605.176,943,540.41
  股东权益合计2,811,795,283.832,788,456,825.642,761,455,346.572,764,548,935.91
  负债和股东权益合计9,053,515,884.258,679,326,526.968,147,444,788.757,913,637,096.86
公告日期2025-08-292025-04-302025-04-262024-10-31
审计意见(境内)标准无保留意见
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