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捷捷微电

(300623)

  

流通市值:204.44亿  总市值:221.67亿
流通股本:7.67亿   总股本:8.32亿

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562,416,579.23505,730,092.77586,296,115.26709,391,055.52
  交易性金融资产40,054,739.73195,117,821.9266,064,676.7120,025,917.81
  应收票据及应收账款1,056,397,910.07984,485,469.19906,572,956.02921,268,571.4
  其中:应收票据333,491,733.68262,683,301.72304,506,600.37278,775,980.91
        应收账款722,906,176.39721,802,167.47602,066,355.65642,492,590.49
  应收款项融资317,532,888.61270,032,050.66369,878,014.84299,459,412.51
  预付款项21,661,437.017,444,004.476,514,077.215,216,810.61
  其他应收款合计5,802,221.544,370,014.374,969,284.454,448,616.39
  其中:应收利息33,800---
  存货781,382,016.57773,805,545.02736,260,468.76599,248,825.42
  其他流动资产47,849,945.0523,869,476.5624,784,485.9421,038,386.78
  流动资产合计2,833,097,737.812,764,854,474.962,701,340,079.192,580,097,596.44
非流动资产:
  其他权益工具投资2,805,788.212,812,234.712,827,034.712,842,574.71
  固定资产5,132,413,607.665,038,539,594.444,875,423,803.734,865,128,698.29
  在建工程360,857,979.33319,821,845.69337,309,940.32337,719,847.15
  使用权资产9,375,143.7110,232,141.1312,877,672.874,656,062.47
  无形资产125,521,281.37128,687,159.43130,017,981.18132,865,562.38
  长期待摊费用1,950,478.541,837,347.61,564,597.971,825,886.34
  递延所得税资产44,221,174.6952,347,037.5651,957,320.5156,395,694.11
  其他非流动资产50,425,964.8472,469,381.21111,132,719.8670,409,974.07
  非流动资产合计5,727,571,418.355,626,746,741.775,523,111,071.155,471,844,299.52
  资产总计8,560,669,156.168,391,601,216.738,224,451,150.348,051,941,895.96
流动负债:
  短期借款800,656,879.25609,643,147.85298,268,073.1496,578,325.46
  应付票据及应付账款1,129,308,140.971,043,740,148.14895,894,220.43893,378,912.42
  其中:应付票据357,457,876.13332,597,117.8273,722,991.9268,131,303.43
        应付账款771,850,264.84711,143,030.34622,171,228.53625,247,608.99
  合同负债16,162,60911,019,705.6718,398,971.699,205,578.79
  应付职工薪酬93,048,724.5475,783,625.2657,561,867.7872,802,554.45
  应交税费51,738,085.2318,477,300.1340,576,512.4756,131,351.34
  其他应付款合计6,435,981.367,140,298.556,577,165.26,539,294.47
  一年内到期的非流动负债171,421,271.68196,621,602.67291,963,765.53188,682,770.51
  其他流动负债135,287,798.23123,689,562.2573,327,509.9570,998,576.87
  流动负债合计2,404,059,490.262,086,115,390.521,682,568,086.191,394,317,364.31
非流动负债:
  长期借款101,852,142.64341,827,457.84299,371,285.84519,916,736.09
  租赁负债6,744,945.97,410,843.578,084,766.031,206,826.46
  长期应付职工薪酬13,526,212.0313,526,212.0310,152,550.3613,526,212.03
  预计负债5,064,593.658,081,240.5914,291,796.8716,632,902.87
  递延收益129,556,039.07134,548,479.85139,592,337.01144,739,463.02
  递延所得税负债405,136.03438,986.3837,727.5635,872.08
  非流动负债合计257,149,069.32505,833,220.26471,530,463.67696,058,012.55
  负债合计2,661,208,559.582,591,948,610.782,154,098,549.862,090,375,376.86
所有者权益(或股东权益):
  实收资本(或股本)832,079,919832,079,919832,079,919832,079,919
  其他权益工具---0
  资本公积2,683,591,757.932,683,591,757.932,818,036,803.922,818,036,803.92
  减:库存股---0
  其他综合收益-194,211.79-187,765.29-172,965.29-157,425.29
  专项储备6,276,607.934,324,349.583,681,725.594,302,885.4
  盈余公积198,697,304.62198,697,304.62198,697,304.62198,697,304.62
  未分配利润2,179,880,298.232,079,803,967.342,069,535,558.171,957,772,818.28
  归属于母公司股东权益合计5,900,331,675.925,798,309,533.185,921,858,346.015,810,732,305.93
  少数股东权益-871,079.341,343,072.77148,494,254.47150,834,213.17
  股东权益合计5,899,460,596.585,799,652,605.956,070,352,600.485,961,566,519.1
  负债和股东权益合计8,560,669,156.168,391,601,216.738,224,451,150.348,051,941,895.96
公告日期2025-10-242025-08-202025-04-242025-04-16
审计意见(境内)标准无保留意见
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