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特锐德

(300001)

  

流通市值:245.58亿  总市值:252.20亿
流通股本:10.28亿   总股本:10.56亿

资产负债表

报告期2025-03-312024-12-312024-09-302024-06-30
公司类型通用通用通用通用
流动资产:
货币资金1,996,418,443.32,742,215,485.491,525,117,835.151,535,497,808.1
应收票据及应收账款9,236,174,571.349,706,315,866.988,955,731,348.488,804,222,304.72
其中:应收票据289,712,061.58367,639,964.84619,606,742.62605,880,809.82
应收账款8,946,462,509.769,338,675,902.148,336,124,605.868,198,341,494.9
应收款项融资103,891,543.49269,960,335.3186,184,328.16130,354,054.37
预付款项357,638,492.76309,925,154.45423,475,442.3363,646,274.45
其他应收款合计342,149,777.04309,449,567.78610,136,473.77628,190,439.22
应收股利270,000---
存货1,934,070,591.381,205,616,602.161,835,831,738.281,502,001,759.64
合同资产1,459,456,063.941,394,972,746.61,443,726,060.781,017,889,781.7
一年内到期的非流动资产63,903,598.9264,095,054.7180,005,561.1780,005,561.17
其他流动资产275,302,141.34238,043,620.36240,024,797.58254,235,299.89
流动资产平衡项目0000
流动资产合计15,769,005,223.5116,240,594,433.8415,213,315,671.3914,325,359,314
非流动资产:
长期应收款357,343,134.93367,227,023.5372,667,586.3472,667,586.34
长期股权投资1,798,443,293.891,765,667,579.751,744,467,003.421,693,950,982.72
其他非流动金融资产3,0003,0003,0003,000
投资性房地产21,647,360.4821,234,727.5721,471,578.2321,708,428.93
固定资产3,479,694,901.063,331,949,277.33,546,322,819.023,661,080,332.53
在建工程190,471,688.88358,448,146.9335,602,286.96269,886,779
使用权资产1,063,123,4461,056,056,610.561,188,653,993.451,269,695,878.65
无形资产715,966,909.78718,567,870.79768,432,167.62735,598,507.87
商誉189,285,536.47189,285,536.47189,285,536.47189,285,536.47
长期待摊费用14,604,301.8715,174,187.715,665,539.1317,083,586.85
递延所得税资产854,935,437.78815,278,951.72782,366,730.91768,623,538.18
其他非流动资产126,609,733.61133,910,777.8387,684,201.1566,863,089.36
非流动资产平衡项目0000
非流动资产合计8,812,128,744.758,772,803,690.128,752,622,442.78,766,447,246.9
资产平衡项目0000
资产总计24,581,133,968.2625,013,398,123.9623,965,938,114.0923,091,806,560.9
流动负债:
短期借款2,488,022,778.872,333,631,737.042,745,238,043.032,435,348,427.8
应付票据及应付账款7,942,817,555.838,078,909,628.467,166,598,939.486,925,619,798.19
其中:应付票据1,711,468,855.981,865,283,888.981,997,406,818.612,149,974,772.56
应付账款6,231,348,699.856,213,625,739.485,169,192,120.874,775,645,025.63
预收款项40,716,145.2441,444,824.2233,572,265.3228,412,410.21
合同负债805,781,546.32677,048,495.72866,242,239.37800,868,501.55
应付职工薪酬144,469,590.55581,334,011.29283,412,233.99189,214,642.16
应交税费160,272,811.04338,601,784.14175,649,048.59123,199,706.38
其他应付款合计642,611,077.58643,457,165.76688,486,438.42658,166,916.16
其中:应付利息0---
应付股利554,830.56834,130.56-34,623,886.9
一年内到期的非流动负债928,415,637.351,006,783,638.67762,830,020.99763,157,469.96
其他流动负债353,428,509.14326,451,995.22362,323,406.92297,487,996.94
流动负债平衡项目0000
流动负债合计13,506,535,651.9214,027,663,280.5213,084,352,636.1112,221,475,869.35
非流动负债:
长期借款952,351,679.29944,449,990.951,379,006,056.421,512,827,035.23
租赁负债1,052,119,050.831,021,051,058.31,053,586,319.311,140,181,040.71
长期应付款20,000,00020,000,000--
预计负债13,725,994.0917,530,452.2832,856,726.0238,769,013.55
递延收益407,262,609.68426,840,468.44443,813,601.98475,948,317.58
递延所得税负债85,793,871.2793,815,784.9492,465,379.9194,427,540.89
非流动负债平衡项目0000
非流动负债合计2,531,253,205.162,523,687,754.913,001,728,083.643,262,152,947.96
负债平衡项目0000
负债合计16,037,788,857.0816,551,351,035.4316,086,080,719.7515,483,628,817.31
所有者权益(或股东权益):
实收资本(或股本)1,055,691,7131,055,691,7131,055,691,7131,055,691,713
资本公积3,559,875,001.173,527,372,366.183,572,961,381.733,549,328,949.57
减:库存股321,787,669.51321,787,669.51464,942,988.3464,942,988.3
其他综合收益-71,589.54-8,345.08--
专项储备12,645,272.7312,649,141.2613,154,593.5613,165,669.47
盈余公积204,003,141.44204,003,141.44181,603,017.01181,603,017.01
未分配利润3,061,394,610.032,996,617,294.612,548,971,988.332,295,589,552.84
归属于母公司股东权益平衡项目0000
归属于母公司股东权益合计7,571,750,479.327,474,537,641.96,907,439,705.336,630,435,913.59
少数股东权益971,594,631.86987,509,446.63972,417,689.01977,741,830
股东权益平衡项目0000
股东权益合计8,543,345,111.188,462,047,088.537,879,857,394.347,608,177,743.59
负债和股东权益合计24,581,133,968.2625,013,398,123.9623,965,938,114.0923,091,806,560.9
公告日期2025-04-282025-04-222024-10-292024-08-27
审计意见(境内)标准无保留意见
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