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新宙邦

(300037)

  

流通市值:267.05亿  总市值:369.63亿
流通股本:5.40亿   总股本:7.48亿

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1,540,068,710.291,583,479,904.611,671,959,632.722,744,564,985.22
  交易性金融资产620,010,383.93445,673,316.97635,524,751.88682,739,645.71
  衍生金融资产--20,800-
  应收票据及应收账款3,571,974,960.53,313,899,155.653,073,047,764.522,904,126,994.15
  其中:应收票据565,056,911.1487,162,197.63432,265,366.81447,231,328.33
        应收账款3,006,918,049.42,826,736,958.022,640,782,397.712,456,895,665.82
  应收款项融资1,046,807,421.05779,390,055.631,064,086,582.18600,041,864.49
  预付款项128,652,654.9993,636,572.7874,683,481.358,959,415.79
  其他应收款合计37,789,007.0641,071,285.9340,918,709.0145,905,368.72
  存货995,761,805.41,043,324,337.831,127,754,003.77997,032,283.65
  一年内到期的非流动资产1,504,844,332.831,045,762,701.38353,764,527.4910,390,000
  其他流动资产260,519,506.49201,017,572.73187,754,922.64203,524,230.4
  流动资产合计9,706,428,782.548,547,254,903.518,229,515,175.518,247,284,788.13
非流动资产:
  长期股权投资586,385,160.18511,487,251.04500,055,137.6251,633,212.19
  其他权益工具投资266,864,771.89316,695,646.93304,530,576.21320,366,325.63
  投资性房地产78,428,577.4779,186,232.7679,943,888.0680,701,543.35
  固定资产4,392,461,359.744,473,104,620.024,000,853,393.44,004,588,898.87
  在建工程1,087,486,899.13904,598,493.91,251,303,157.831,190,874,361.83
  使用权资产15,738,851.219,837,069.6622,834,544.2419,078,109.1
  无形资产806,987,279.04814,945,140.95815,458,058.69822,889,986.85
  开发支出56,527,144.4931,578,751.4323,991,295.6318,911,325.68
  商誉417,052,199.39419,379,155.43419,379,155.43419,379,155.43
  长期待摊费用104,999,363.48110,119,436.92115,870,913.88118,297,849.93
  递延所得税资产132,569,227.34146,089,123.99141,955,564.59137,771,666.27
  其他非流动资产868,362,654.911,228,774,726.021,679,891,908.441,991,415,982.29
  非流动资产合计8,813,863,488.269,055,795,649.059,356,067,5949,375,908,417.42
  资产总计18,520,292,270.817,603,050,552.5617,585,582,769.5117,623,193,205.55
流动负债:
  短期借款350,134,333.33303,117,541.67550,710,283.33754,090,817
  交易性金融负债479,850.65370,708.67-1,099,753.77
  衍生金融负债43,700---
  应付票据及应付账款3,745,372,030.033,322,615,919.963,152,199,960.682,921,513,077.1
  其中:应付票据2,071,654,428.641,905,402,027.551,584,166,962.761,506,028,353
        应付账款1,673,717,601.391,417,213,892.411,568,032,997.921,415,484,724.1
  预收款项52,290.8532,197.1462,541.9843,708.59
  合同负债48,662,980.4143,965,495.7620,659,01819,783,368.69
  应付职工薪酬170,783,123.29133,232,738.1497,364,117.67224,663,297.63
  应交税费106,848,870.7898,585,710.879,043,742.6885,192,349.17
  其他应付款合计317,305,658.95312,108,836.15268,919,926.15323,685,053.47
  一年内到期的非流动负债216,191,490.54294,505,918.68147,825,269.83206,672,837.96
  其他流动负债105,310,259.31102,022,764.9991,990,926.5693,735,480.48
  流动负债合计5,061,184,588.144,610,557,831.964,408,775,786.884,630,479,743.86
非流动负债:
  长期借款426,480,192.41292,500,000484,632,000594,632,000
  应付债券1,820,996,460.631,831,497,858.991,813,991,499.361,796,478,701.63
  租赁负债8,526,866.1412,121,121.9213,791,604.4710,938,808.05
  长期应付职工薪酬40,998,513.7940,998,513.7940,803,411.7939,492,173.52
  递延收益312,870,874.71310,470,437.72276,702,896.02250,194,873.71
  递延所得税负债72,240,000.1779,516,010.5278,033,138.4778,287,154.81
  非流动负债合计2,682,112,907.852,567,103,942.942,707,954,550.112,770,023,711.72
  负债合计7,743,297,495.997,177,661,774.97,116,730,336.997,400,503,455.58
所有者权益(或股东权益):
  实收资本(或股本)747,782,523747,779,115753,883,446753,883,446
  其他权益工具274,753,365.82274,772,898.76274,773,177.8274,773,177.8
  资本公积2,673,397,212.842,694,765,072.812,871,750,572.392,851,782,890.38
  减:库存股100,300,606.6100,300,606.6250,344,988.85200,349,403.45
  其他综合收益217,118,928.74241,856,501.87208,849,864.47208,135,398.13
  专项储备6,310,410.918,991,372.43,793,298.692,551,299.06
  盈余公积376,941,723376,941,723376,941,723376,941,723
  未分配利润6,101,125,928.825,708,756,920.035,752,890,400.035,483,455,695.02
  归属于母公司股东权益合计10,297,129,486.539,953,562,997.279,992,537,493.539,751,174,225.94
  少数股东权益479,865,288.28471,825,780.39476,314,938.99471,515,524.03
  股东权益合计10,776,994,774.8110,425,388,777.6610,468,852,432.5210,222,689,749.97
  负债和股东权益合计18,520,292,270.817,603,050,552.5617,585,582,769.5117,623,193,205.55
公告日期2025-10-292025-08-262025-04-292025-03-25
审计意见(境内)标准无保留意见
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