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新国都

(300130)

  

流通市值:126.12亿  总市值:164.80亿
流通股本:4.34亿   总股本:5.67亿

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2,647,802,684.932,615,317,062.994,012,761,018.863,586,038,427.62
  结算备付金0-0-
  拆出资金0-0-
  交易性金融资产1,679,362,117.791,441,062,793.680630,000,000
  衍生金融资产0-0-
  应收票据及应收账款386,249,720.1318,860,141.43297,921,844.58347,727,568.92
  其中:应收票据0-0-
        应收账款386,249,720.1318,860,141.43297,921,844.58347,727,568.92
  应收款项融资0-0-
  预付款项25,231,824.7824,867,320.723,694,429.339,284,662.41
  应收保费0-0-
  应收分保账款0-0-
  应收分保合同准备金0-0-
  其他应收款合计63,461,67866,562,246.0942,225,049.96126,602,964.07
  买入返售金融资产0-0-
  存货112,570,299120,737,898.1499,428,622.7999,575,744.73
  合同资产0-0-
  一年内到期的非流动资产0-0-
  其他流动资产96,302,386.45125,683,677.16138,717,696.18200,827,592.26
  流动资产合计5,010,980,711.054,713,091,140.194,614,748,661.675,030,056,960.01
非流动资产:
  发放委托贷款及垫款0-0-
  债权投资0-0-
  其他债权投资0-0-
  长期应收款0-0-
  长期股权投资156,356,783.39147,558,659.48141,541,575.4140,185,141.62
  其他权益工具投资87,682,653.71123,529,153.7187,682,653.7187,682,653.71
  其他非流动金融资产21,049,00020,612,50020,612,50020,612,500
  投资性房地产0-0-
  固定资产40,702,553.0543,737,180.9544,739,260.2162,614,993.89
  在建工程0-0-
  生产性生物资产0-0-
  油气资产0-0-
  使用权资产51,202,197.7261,525,505.5269,135,350.1264,122,713.33
  无形资产6,690,192.636,227,651.46,265,539.416,839,867.33
  开发支出0-0-
  商誉558,245,670.86573,208,842.34573,208,842.34695,383,940.08
  长期待摊费用13,838,620.0814,564,443.8716,065,015.8512,773,471.98
  递延所得税资产61,330,489.9772,515,609.0671,832,993.7770,946,256.83
  其他非流动资产102,331,061.4346,602,980.545,305,496.722,752,631.84
  非流动资产合计1,099,429,222.841,110,082,526.831,076,389,227.531,163,914,170.61
  资产总计6,110,409,933.895,823,173,667.025,691,137,889.26,193,971,130.62
流动负债:
  短期借款164,592,933.28164,592,933.2858,576,000257,639,970
  向中央银行借款0-0-
  吸收存款及同业存放0-0-
  拆入资金0-0-
  交易性金融负债0-0-
  衍生金融负债0-0-
  应付票据及应付账款644,582,719.92497,222,640.93525,861,022.59479,333,084.4
  其中:应付票据130,422,599.1101,734,226.85103,115,674.44129,487,951.9
        应付账款514,160,120.82395,488,414.08422,745,348.15349,845,132.5
  预收款项0-0-
  合同负债60,924,667.5188,403,975.498,179,603.4451,842,006.53
  卖出回购金融资产款0-0-
  应付手续费及佣金0-0-
  应付职工薪酬69,821,419.8554,357,641.2123,767,133.6369,181,390.74
  应交税费27,951,189.247,619,283.4523,205,655.3815,165,823.35
  其他应付款合计645,883,627.97544,857,129.87545,634,806.01935,100,504.94
  应付分保账款0-0-
  保险合同准备金0-0-
  代理买卖证券款0-0-
  代理承销证券款0-0-
  一年内到期的非流动负债27,312,138.1526,002,234.5530,390,442.2327,866,087.74
  其他流动负债2,375,937.162,527,815.863,311,889.522,840,427.91
  流动负债合计1,643,444,633.081,385,583,654.541,408,926,552.81,838,969,295.61
非流动负债:
  长期借款0-0-
  应付债券0-0-
  优先股0-0-
  永续债0-0-
  租赁负债25,870,338.6137,988,429.3741,248,357.339,295,947.83
  长期应付款0-0-
  长期应付职工薪酬0-0-
  预计负债58,147,356.2327,391,492.1727,307,191.9121,563,790.98
  递延收益9,220,192.299,680,425.169,078,994.929,970,612.12
  递延所得税负债8,481,241.258,990,988.089,763,222.735,288,219.11
  其他非流动负债0-0-
  非流动负债合计101,719,128.3884,051,334.7887,397,766.8676,118,570.04
  负债合计1,745,163,761.461,469,634,989.321,496,324,319.661,915,087,865.65
所有者权益(或股东权益):
  实收资本(或股本)567,299,123567,030,623566,868,623560,330,123
  其他权益工具0-0-
  优先股0-0-
  永续债0-0-
  资本公积2,185,724,062.772,178,313,533.542,176,223,733.542,090,569,383.43
  减:库存股0-0-
  其他综合收益18,458,876.7819,111,505.7818,465,583.9617,822,025.7
  专项储备0-0-
  盈余公积180,170,213.18177,061,037.26177,061,037.26134,385,269.02
  一般风险准备0-0-
  未分配利润1,411,494,064.651,415,188,169.91,258,769,157.431,477,869,580.9
  归属于母公司股东权益合计4,363,146,340.384,356,704,869.484,197,388,135.194,280,976,382.05
  少数股东权益2,099,832.05-3,166,191.78-2,574,565.65-2,093,117.08
  股东权益合计4,365,246,172.434,353,538,677.74,194,813,569.544,278,883,264.97
  负债和股东权益合计6,110,409,933.895,823,173,667.025,691,137,889.26,193,971,130.62
公告日期2025-08-272025-04-242025-03-292024-10-26
审计意见(境内)标准无保留意见
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