当前位置:首页 - 行情中心 - 联泓新科(003022) - 财务分析 - 资产负债表

联泓新科

(003022)

  

流通市值:283.43亿  总市值:283.67亿
流通股本:13.34亿   总股本:13.36亿

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2,639,712,851.482,990,256,461.143,358,581,027.422,282,659,274.99
  交易性金融资产50,024,657.53---
  应收票据及应收账款283,754,084.17262,456,523.45235,947,271.99181,935,147.85
  其中:应收票据125,992,082.29121,641,201.87106,047,877.4454,640,848.84
        应收账款157,762,001.88140,815,321.58129,899,394.55127,294,299.01
  预付款项187,125,406.97160,771,172.62119,128,495.19130,821,510.28
  其他应收款合计87,216,478.3114,669,735.3294,938,724.3498,219,997.32
  存货684,886,786.66735,272,951.43698,448,156.33655,654,023.24
  其他流动资产695,826,900.69609,922,122.84543,432,422.86523,591,922.19
  流动资产合计4,628,547,165.84,873,348,966.85,050,476,098.133,872,881,875.87
非流动资产:
  长期股权投资64,332,872.463,821,013.5862,900,802.0547,836,478.87
  投资性房地产604,838.71609,677.41--
  固定资产7,239,545,410.547,385,609,551.467,197,271,273.147,336,881,599.59
  在建工程7,216,253,860.916,312,737,350.855,746,469,973.964,930,296,488.09
  使用权资产3,103,298.33,766,123.564,317,557.954,981,556.08
  无形资产1,568,033,351.781,584,945,343.81,533,598,972.681,599,966,363.02
  商誉65,739,155.5765,739,155.5765,739,155.5765,739,155.57
  长期待摊费用113,565,880.14120,767,620.39103,767,490.77109,398,473.55
  递延所得税资产8,358,166.1915,617,050.2826,502,727.1640,304,262.02
  其他非流动资产1,870,453,383.391,673,151,601.611,559,535,601.861,516,484,697.2
  非流动资产合计18,149,990,217.9317,226,764,488.5116,300,103,555.1415,651,889,073.99
  资产总计22,778,537,383.7322,100,113,455.3121,350,579,653.2719,524,770,949.86
流动负债:
  短期借款3,693,679,116.234,129,416,714.563,419,732,114.883,373,443,627.21
  应付票据及应付账款945,774,050.121,078,450,817.04939,350,795.34983,364,091.97
  其中:应付票据454,795,350.88554,779,932.32441,200,496.76500,776,021.63
        应付账款490,978,699.24523,670,884.72498,150,298.58482,588,070.34
  预收款项16,901,581.4915,999,889.3916,183,327.9322,046,776.1
  合同负债113,690,150.46140,510,002.158,783,636.184,767,123.48
  应付职工薪酬75,331,290.2663,691,78359,863,467.8285,037,689.3
  应交税费18,828,656.3212,208,838.4116,554,544.7419,377,073.23
  其他应付款合计74,381,558.0876,532,701.1395,662,533.4976,019,795.88
  一年内到期的非流动负债1,705,770,668.11,870,594,206.471,762,259,657.621,729,126,271.45
  其他流动负债14,779,719.5718,266,300.267,641,872.711,019,726.06
  流动负债合计6,659,136,790.637,405,671,252.366,376,031,950.626,384,202,174.68
非流动负债:
  长期借款7,533,346,708.916,267,128,527.446,548,214,5494,786,113,549
  租赁负债298,052.91970,787.651,584,299.372,226,586.86
  长期应付款100,650,000---
  递延收益328,651,033.3334,169,378.69336,973,565.69338,307,052.69
  递延所得税负债146,509,798.07149,009,588.02154,951,679.36152,967,561.61
  非流动负债合计8,109,455,593.196,751,278,281.87,041,724,093.425,279,614,750.16
  负债合计14,768,592,383.8214,156,949,534.1613,417,756,044.0411,663,816,924.84
所有者权益(或股东权益):
  实收资本(或股本)1,335,568,0001,335,568,0001,335,568,0001,335,568,000
  资本公积2,722,120,648.822,722,120,648.822,722,120,648.822,722,120,648.82
  专项储备31,399,838.739,040,561.645,560,306.7547,991,450.2
  盈余公积389,105,699.37389,105,699.37389,105,699.37389,105,699.37
  未分配利润2,900,489,784.362,828,750,913.172,819,624,467.572,748,217,240.67
  归属于母公司股东权益合计7,378,683,971.257,314,585,822.967,311,979,122.517,243,003,039.06
  少数股东权益631,261,028.66628,578,098.19620,844,486.72617,950,985.96
  股东权益合计8,009,944,999.917,943,163,921.157,932,823,609.237,860,954,025.02
  负债和股东权益合计22,778,537,383.7322,100,113,455.3121,350,579,653.2719,524,770,949.86
公告日期2025-10-152025-08-162025-04-262025-03-28
审计意见(境内)标准无保留意见
TOP↑