当前位置:首页 - 行情中心 - 锐明技术(002970) - 财务分析 - 资产负债表

锐明技术

(002970)

  

流通市值:56.45亿  总市值:82.70亿
流通股本:1.23亿   总股本:1.81亿

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1,333,659,598.071,314,634,506.491,286,860,059.94980,145,416.77
  交易性金融资产--506,483.85506,483.85
  应收票据及应收账款473,522,463.06484,977,377.58426,285,557.65669,035,318.98
  其中:应收票据22,467,473.721,816,141.2154,029,759.49134,532,548.3
        应收账款451,054,989.36463,161,236.37372,255,798.16534,502,770.68
  应收款项融资29,444,904.1540,670,756.7122,877,120.911,256,089.23
  预付款项49,795,138.8255,564,561.3556,499,950.6457,994,872.06
  其他应收款合计54,802,694.8250,199,313.3254,673,878.3843,394,576.62
  存货521,102,207.42419,656,782.4367,470,018.03538,694,579.84
  合同资产8,189,536.948,267,6648,304,999.438,785,956.17
  一年内到期的非流动资产248,215.23247,882.641,145,178.111,164,462.52
  其他流动资产35,514,461.6527,020,885.9918,101,448.3323,451,740.02
  流动资产合计2,506,279,220.162,401,239,730.482,242,724,695.262,334,429,496.06
非流动资产:
  长期股权投资24,549,490.7424,401,939.6923,743,501.4813,227,223.41
  其他权益工具投资41,646,060.7583,659,075.0781,952,586.9770,171,590
  其他非流动金融资产21,000,00021,000,00021,000,00021,000,000
  投资性房地产12,176,811.6912,385,548.2712,640,780.7412,896,013.21
  固定资产340,753,176.93341,753,405.38343,108,238.54383,401,532.9
  在建工程30,183,991.1530,136,526.9219,284,609.5717,040,005.47
  使用权资产29,683,784.6633,407,395.6335,327,150.6837,012,539.65
  无形资产35,815,217.0734,068,237.6434,183,174.9236,275,094
  长期待摊费用23,101,194.0124,472,469.6327,107,170.9932,533,523.29
  递延所得税资产36,996,498.0642,270,315.1240,283,500.4146,103,759.15
  其他非流动资产62,578,919.7152,139,144.3243,223,307.5137,393,241.07
  非流动资产合计658,485,144.77699,694,057.67681,854,021.81707,054,522.15
  资产总计3,164,764,364.933,100,933,788.152,924,578,717.073,041,484,018.21
流动负债:
  短期借款418,171,004.91485,900,000385,800,000167,079,384
  应付票据及应付账款512,144,361.95423,826,487.63355,547,171.84714,758,887.28
  其中:应付票据104,958,144.1377,817,026.6186,207,555.1104,772,774.28
        应付账款407,186,217.82346,009,461.02269,339,616.74609,986,113
  合同负债72,799,023.9376,948,971.16104,308,394.07111,906,915.98
  应付职工薪酬62,791,994.1268,213,106.73117,068,438.29126,800,618.99
  应交税费33,631,888.4815,243,293.8817,180,032.0715,482,723.79
  其他应付款合计51,974,788.8271,810,250.3641,384,089.4358,721,517.48
        应付股利10,550,685.618,463,699.8--
  一年内到期的非流动负债12,152,519.2312,802,558.4814,817,173.9436,941,432.89
  其他流动负债6,368,238.414,229,059.795,479,244.5952,721,850.32
  流动负债合计1,170,033,819.851,158,973,728.031,041,584,544.231,284,413,330.73
非流动负债:
  租赁负债17,488,134.0618,647,553.1916,732,750.9518,975,778.82
  预计负债55,793,859.2657,599,964.2746,353,537.4939,925,332.11
  递延收益3,402,901.173,839,181.44,339,911.194,840,640.98
  递延所得税负债813,098.016,238,148.46,446,041.46,653,934.42
  非流动负债合计77,497,992.586,324,847.2673,872,241.0370,395,686.33
  负债合计1,247,531,812.351,245,298,575.291,115,456,785.261,354,809,017.06
所有者权益(或股东权益):
  实收资本(或股本)180,637,300178,698,639177,340,291177,030,911
  资本公积1,004,191,098.57947,522,280.22891,503,148.33871,380,429.28
  减:库存股19,254,50031,750,50041,518,949.2741,518,949.27
  其他综合收益19,919,174.4527,119,491.926,760,143.316,936,231.96
  盈余公积105,366,082.76105,366,082.76105,366,082.76105,366,082.76
  未分配利润632,719,322.45634,298,144.31656,281,710.54555,553,915.08
  归属于母公司股东权益合计1,923,578,478.231,861,254,138.191,815,732,426.661,684,748,620.81
  少数股东权益-6,345,925.65-5,618,925.33-6,610,494.851,926,380.34
  股东权益合计1,917,232,552.581,855,635,212.861,809,121,931.811,686,675,001.15
  负债和股东权益合计3,164,764,364.933,100,933,788.152,924,578,717.073,041,484,018.21
公告日期2025-10-232025-08-222025-04-252025-04-25
审计意见(境内)标准无保留意见
TOP↑