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新莱应材

(300260)

  

流通市值:117.70亿  总市值:166.87亿
流通股本:2.88亿   总股本:4.08亿

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489,740,860.21534,263,134.1533,381,794.66457,919,881.66
  结算备付金--0-
  拆出资金--0-
  交易性金融资产0225,376.06165,936.22173,366.2
  衍生金融资产--0-
  应收票据及应收账款870,487,818.59866,192,578.35896,410,150.86955,626,333.24
  其中:应收票据72,969,517.6688,645,682104,209,806.9213,654,034.23
        应收账款797,518,300.93777,546,896.35792,200,343.94941,972,299.01
  应收款项融资23,448,584.6821,092,241.0918,210,293.3430,653,850.12
  预付款项39,961,333.2453,666,494.5832,566,535.6732,730,268.93
  应收保费--0-
  应收分保账款--0-
  应收分保合同准备金--0-
  其他应收款合计12,949,683.3510,998,788.9615,783,556.797,704,158.93
  其中:应收利息0-0-
        应收股利0-0-
  买入返售金融资产0-0-
  存货1,508,094,167.51,529,609,145.891,548,675,201.141,575,693,120.17
  合同资产7,751,824.967,427,954.27,144,186.79-
  一年内到期的非流动资产0-0-
  其他流动资产23,713,656.7920,375,932.4322,657,114.1927,274,183.77
  流动资产合计2,976,147,929.323,043,851,645.663,074,994,769.663,087,775,163.02
非流动资产:
  发放委托贷款及垫款0-0-
  债权投资--0-
  其他债权投资0-0-
  长期应收款13,613,016.2214,747,665.3612,451,123.4615,500,106.34
  长期股权投资0-0-
  其他权益工具投资41,209,80031,209,80031,209,80030,000,000
  其他非流动金融资产0-0-
  投资性房地产32,052,676.132,376,338.5533,266,18033,589,842.45
  固定资产1,249,876,882.391,220,350,889.41,192,496,313.53883,839,890.37
  在建工程253,650,412.82229,743,342.35231,393,027.39256,606,023.54
  生产性生物资产0-0-
  油气资产0-0-
  使用权资产26,293,565.4928,131,372.9129,702,523.2231,661,171.04
  无形资产168,855,650.25167,663,629.82167,855,669.36190,441,378.32
  开发支出0-0-
  商誉120,320,174.46120,320,174.46120,320,174.46120,320,174.46
  长期待摊费用7,424,986.849,171,277.139,045,144.998,816,071.43
  递延所得税资产52,147,399.6244,951,810.7747,703,235.1538,659,516.81
  其他非流动资产237,230,233.92151,154,324.3135,567,724.2114,110,555.86
  非流动资产合计2,202,674,798.112,049,820,625.052,011,010,915.761,723,544,730.62
  资产总计5,178,822,727.435,093,672,270.715,086,005,685.424,811,319,893.64
流动负债:
  短期借款650,546,686.57607,046,654.93675,359,670.44731,604,886.5
  向中央银行借款--0-
  吸收存款及同业存放--0-
  拆入资金--0-
  交易性金融负债0-0-
  衍生金融负债--0-
  应付票据及应付账款848,548,795.7912,071,167895,076,351.78920,367,919.05
  其中:应付票据296,057,522.63410,429,322.81326,018,868315,517,107.71
        应付账款552,491,273.07501,641,844.19569,057,483.78604,850,811.34
  预收款项1,094,497.37439,919.76971,953.1569,415.85
  合同负债122,724,601.26135,585,293.7139,181,329.71137,583,928.21
  卖出回购金融资产款--0-
  应付手续费及佣金0-0-
  应付职工薪酬34,391,953.827,962,261.7147,376,741.4139,696,039.1
  应交税费20,109,896.1626,601,148.3142,890,272.0431,240,838.74
  其他应付款合计74,428,059.4479,888,026.1987,126,111.0767,507,369.53
  其中:应付利息0-0-
        应付股利34,422,282.01-37,450,962.0137,450,962.01
  应付分保账款--0-
  保险合同准备金--0-
  代理买卖证券款--0-
  代理承销证券款0-0-
  一年内到期的非流动负债203,908,543.15365,929,296.71353,900,959.49381,853,173.51
  其他流动负债76,495,585.8267,171,733.8586,712,177.0710,190,579.74
  流动负债合计2,032,248,619.272,222,695,502.162,328,595,566.112,320,614,150.23
非流动负债:
  长期借款932,732,110.95722,738,111.76667,860,685.32502,693,703.84
  应付债券0-0-
  优先股0-0-
  永续债0-0-
  租赁负债24,659,928.5326,515,025.7227,253,580.2929,172,238.09
  长期应付款83,932,729.3683,932,729.3683,932,729.36-
  长期应付职工薪酬0-0-
  预计负债0-0-
  递延收益33,719,647.7632,056,089.1121,189,543.3121,666,331.48
  递延所得税负债374,109.87302,450374,293.04287,434.83
  其他非流动负债0-0-
  非流动负债合计1,075,418,526.47865,544,405.95800,610,831.32553,819,708.24
  负债合计3,107,667,145.743,088,239,908.113,129,206,397.432,874,433,858.47
所有者权益(或股东权益):
  实收资本(或股本)407,806,752407,806,752407,806,752407,806,752
  其他权益工具0-0-
  优先股0-0-
  永续债0-0-
  资本公积376,770,909.7376,770,909.7376,770,909.7376,770,909.7
  减:库存股53,594,346.6153,594,346.6153,594,346.6139,983,155.11
  其他综合收益15,183,985.2717,415,128.948,344,119.933,247,755.63
  专项储备--0-
  盈余公积80,071,964.4380,071,964.4380,071,964.4365,910,494.07
  一般风险准备--0-
  未分配利润1,237,345,384.951,168,972,844.361,129,259,894.351,115,109,768.15
  归属于母公司股东权益合计2,063,584,649.741,997,443,252.821,948,659,293.81,928,862,524.44
  少数股东权益7,570,931.957,989,109.788,139,994.198,023,510.73
  股东权益合计2,071,155,581.692,005,432,362.61,956,799,287.991,936,886,035.17
  负债和股东权益合计5,178,822,727.435,093,672,270.715,086,005,685.424,811,319,893.64
公告日期2025-08-262025-04-292025-04-292024-10-25
审计意见(境内)标准无保留意见
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