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田中精机

(300461)

  

流通市值:21.57亿  总市值:29.72亿
流通股本:1.14亿   总股本:1.57亿

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115,628,571.22114,941,088.7372,227,873.3753,479,785.08
  应收票据及应收账款93,841,901.0689,337,947.89160,297,995.3171,552,326.31
  其中:应收票据285,000126,735.4688,000-
        应收账款93,556,901.0689,211,212.49159,609,995.3171,552,326.31
  应收款项融资3,261,624.421,377,511.724,880,751.63,995,424.66
  预付款项10,947,313.399,218,396.121,974,729.141,323,473.31
  其他应收款合计7,743,068.649,012,705.685,750,347.398,488,620.92
  存货259,714,437.04222,406,915.32205,199,093.59249,254,260.85
  合同资产6,493,012.016,562,931.654,959,478.419,567,069.02
  其他流动资产8,524,728.516,297,002.888,004,356.413,381,289.09
  流动资产合计506,154,656.29459,154,499.99463,294,625.2511,042,249.24
非流动资产:
  长期股权投资143,038,738.15158,936,424.88177,109,749.7185,510,744.67
  投资性房地产1,770,675.921,830,822.711,890,969.53,421,698.09
  固定资产140,203,618.83141,954,329.89145,158,192.03149,626,502.09
  在建工程3,308,3003,308,3003,308,3002,137,284.89
  使用权资产522,350.03623,220.48724,221.6619,914,845.51
  无形资产14,219,213.0414,480,403.9614,577,974.1116,042,366.37
  长期待摊费用---3,477,392.42
  递延所得税资产69,033,096.9871,926,849.8868,126,049.2569,989,908.34
  其他非流动资产20,000,00010,246,835.8610,306,565.8617,364,653
  非流动资产合计392,095,992.95403,307,187.66421,202,022.11467,485,395.38
  资产总计898,250,649.24862,461,687.65884,496,647.31978,527,644.62
流动负债:
  短期借款30,027,611.130,038,33060,057,077.7850,000,000
  应付票据及应付账款163,223,700.82139,911,376.2132,661,907.4130,102,783.21
  其中:应付票据21,706,730.2619,668,828.8421,330,251.0915,389,766.22
        应付账款141,516,970.56120,242,547.36111,331,656.31114,713,016.99
  合同负债93,898,444.5989,314,261.9674,971,513.0961,350,517.39
  应付职工薪酬16,955,797.0314,127,786.8915,694,395.220,471,681.84
  应交税费3,645,469.752,386,776.484,306,567.856,422,831.29
  其他应付款合计46,482,833.1236,792,631.5538,208,235.9713,178,747.7
  一年内到期的非流动负债23,028,858.596,822,836.727,242,615.269,017,153.41
  其他流动负债7,306,548.016,607,612.165,645,927.843,667,751.91
  流动负债合计384,569,263.01326,001,611.96338,788,240.39294,211,466.75
非流动负债:
  长期借款17,962,473.2932,249,992.7932,249,992.7937,624,996.4
  租赁负债110,947.13210,361.23312,076.5515,842,281.41
  预计负债4,490,929.122,900,709.992,892,092.791,217,778.12
  递延收益2,427,450.822,465,686.122,503,921.421,542,156.72
  非流动负债合计24,991,800.3637,826,750.1337,958,083.5556,227,212.65
  负债合计409,561,063.37363,828,362.09376,746,323.94350,438,679.4
所有者权益(或股东权益):
  实收资本(或股本)157,056,692155,741,692155,741,692155,741,692
  资本公积713,535,513.53700,604,461.03700,604,461.03702,152,609.18
  减:库存股32,147,00019,260,00019,260,00019,260,000
  其他综合收益-1,435,176.5-1,639,302.24-1,774,807.59-1,447,185.32
  专项储备3,522,684.93,155,715.192,749,761.122,458,816.87
  盈余公积13,828,517.5613,828,517.5613,828,517.5613,828,517.56
  未分配利润-347,970,017.52-337,396,819.68-329,354,391.31-209,845,533.69
  归属于母公司股东权益合计506,391,213.97515,034,263.86522,535,232.81643,628,916.6
  少数股东权益-17,701,628.1-16,400,938.3-14,784,909.44-15,539,951.38
  股东权益合计488,689,585.87498,633,325.56507,750,323.37628,088,965.22
  负债和股东权益合计898,250,649.24862,461,687.65884,496,647.31978,527,644.62
公告日期2025-08-292025-04-242025-04-242024-10-30
审计意见(境内)标准无保留意见
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