当前位置:首页 - 行情中心 - 鼎捷数智(300378) - 财务分析 - 资产负债表

鼎捷数智

(300378)

  

流通市值:127.79亿  总市值:128.75亿
流通股本:2.69亿   总股本:2.71亿

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755,066,326.85682,166,453.3758,960,434.32570,647,608.42
  交易性金融资产45,000,00076,454,424.11,454,424.150,415,000
  应收票据及应收账款791,693,659.05758,242,661.22811,123,487.75650,862,667.04
  其中:应收票据167,110,074.24153,019,840.91208,350,563.97144,259,698.89
        应收账款624,583,584.81605,222,820.31602,772,923.78506,602,968.15
  预付款项45,868,529.7635,492,096.5732,118,984.3345,859,752.99
  其他应收款合计21,614,282.7422,573,486.1723,911,790.5927,756,086.3
  其中:应收利息-1,740,827.4--
  存货111,694,880.58107,462,252.6685,441,408.8497,443,724.76
  一年内到期的非流动资产63,940,924.85---
  其他流动资产24,622,090.0121,748,570.7419,525,271.6815,328,521.93
  流动资产合计1,859,500,693.841,704,139,944.761,732,535,801.611,458,313,361.44
非流动资产:
  长期股权投资96,465,145.0497,034,345.3699,088,949114,829,142.36
  其他非流动金融资产5,000,0005,000,0005,000,0005,000,000
  固定资产667,948,513.36641,411,501.78656,422,940.64668,759,870.4
  在建工程154,599,265.48130,258,715.87101,299,496.8578,248,148.79
  使用权资产52,459,259.7556,722,768.764,907,390.968,403,001.12
  无形资产227,692,880.56214,754,919.15217,626,831.29218,299,555.3
  开发支出374,262,843.39334,567,215.9298,126,722.67247,353,965.7
  商誉39,940,118.5939,940,118.5939,940,118.5939,910,490.53
  长期待摊费用11,519,781.6812,890,172.8914,038,629.1115,342,490.17
  递延所得税资产73,475,926.7261,043,899.5758,844,621.673,515,323.45
  其他非流动资产55,713,425.2940,572,857.2107,486,521.0386,433,232.6
  非流动资产合计1,759,077,159.861,634,196,515.011,662,782,221.681,616,095,220.42
  资产总计3,618,577,853.73,338,336,459.773,395,318,023.293,074,408,581.86
流动负债:
  短期借款223,249,111.13200,094,708.3250,259,919.4578,665,333.32
  应付票据及应付账款266,347,158.35217,262,172.9256,689,694.13225,604,806.93
  其中:应付票据4,218,837.813,507,815.394,496,835.977,295,795.67
        应付账款262,128,320.54213,754,357.51252,192,858.16218,309,011.26
  合同负债296,701,560.76264,268,998.92318,242,774.82250,236,159.19
  应付职工薪酬169,922,528.06138,987,508.13228,028,828.04175,925,988.53
  应交税费87,613,793.9755,676,678.1378,232,757.2321,209,644.81
  其他应付款合计14,312,704.9414,671,124.4326,946,072.7314,480,855.65
  一年内到期的非流动负债24,740,682.0627,699,619.5726,243,117.3121,332,594.79
  其他流动负债11,547,377.7418,395,780.1811,860,744.7914,935,192.46
  流动负债合计1,094,434,917.01937,056,590.58996,503,908.5802,390,575.68
非流动负债:
  长期借款43,603,434.2235,435,629.039,765,355.94-
  租赁负债33,640,820.235,388,393.3844,637,943.6249,245,129.23
  递延收益8,020,0008,020,0008,020,00011,871,567.61
  递延所得税负债4,376,806.895,885,729.175,204,863.56-
  非流动负债合计89,641,061.3184,729,751.5867,628,163.1261,116,696.84
  负债合计1,184,075,978.321,021,786,342.161,064,132,071.62863,507,272.52
所有者权益(或股东权益):
  实收资本(或股本)271,392,830271,392,830271,392,830271,392,830
  资本公积944,143,557.71941,371,903.36938,601,714.03935,507,660.02
  减:库存股94,950,494.6594,950,494.6594,950,494.6594,950,494.65
  其他综合收益68,566,565.658,404,913.6411,550,792.977,227,378.16
  盈余公积92,187,052.5392,187,052.5392,187,052.5389,187,284.01
  未分配利润1,013,308,446.7968,043,410.57976,376,464.61873,621,226.27
  归属于母公司股东权益合计2,294,647,957.942,186,449,615.452,195,158,359.492,081,985,883.81
  少数股东权益139,853,917.44130,100,502.16136,027,592.18128,915,425.53
  股东权益合计2,434,501,875.382,316,550,117.612,331,185,951.672,210,901,309.34
  负债和股东权益合计3,618,577,853.73,338,336,459.773,395,318,023.293,074,408,581.86
公告日期2025-08-302025-04-262025-04-262024-10-31
审计意见(境内)标准无保留意见
TOP↑