当前位置:首页 - 行情中心 - 英搏尔(300681) - 财务分析 - 资产负债表

英搏尔

(300681)

  

流通市值:62.98亿  总市值:83.53亿
流通股本:2.31亿   总股本:3.06亿

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935,003,643.68988,534,583.461,113,204,022.02903,518,918.33
  交易性金融资产85,000,000---
  应收票据及应收账款974,733,552.93821,403,713.44709,048,795.55863,516,320.03
  其中:应收票据211,579,030.15138,869,334.59148,172,873.15204,613,981.17
        应收账款763,154,522.78682,534,378.85560,875,922.4658,902,338.86
  应收款项融资30,359,122.4642,752,485.5588,187,115.74383,592,893.75
  预付款项11,393,315.99,159,312.69,890,147.6813,050,751.79
  其他应收款合计121,950,708.9221,454,518.8211,214,123.713,443,253.74
  存货1,469,690,192.841,166,810,616.791,060,267,904.34957,323,390.3
  其他流动资产90,756,349.5587,313,267.0872,841,582.5862,506,953.86
  流动资产合计3,718,886,886.283,137,428,497.743,064,653,691.613,196,952,481.8
非流动资产:
  长期股权投资26,030,067.6330,240,279.5433,029,676.9919,710,994.69
  其他权益工具投资185,396,863.13178,074,242.28178,455,708.15110,635,896.41
  投资性房地产-75,874,933.6976,514,820.8577,154,707.95
  固定资产1,303,322,656.35818,240,086.39804,610,624.22810,733,413.8
  在建工程610,745,177.23888,022,274.78840,153,610.04718,059,362.4
  使用权资产275,034.431,264,831.032,673,121.34,081,411.57
  无形资产88,487,943.8689,089,14388,821,109.7489,530,559.37
  长期待摊费用55,768,741.7348,207,325.7230,915,459.6925,786,220.88
  递延所得税资产157,549,310.57163,695,038.37164,500,276.92150,125,753.77
  其他非流动资产146,005,639.18158,812,923.7762,143,053.6132,373,572.64
  非流动资产合计2,573,581,434.112,451,521,078.572,281,817,461.512,038,191,893.48
  资产总计6,292,468,320.395,588,949,576.315,346,471,153.125,235,144,375.28
流动负债:
  短期借款128,432,137.9663,653,246.4874,713,118.880,986,855.95
  应付票据及应付账款2,058,724,028.531,591,685,853.541,334,254,472.531,400,243,850.34
  其中:应付票据757,667,927.13688,845,725.08649,780,239.24534,095,512.45
        应付账款1,301,056,101.4902,840,128.46684,474,233.29866,148,337.89
  合同负债26,600,848.2123,543,476.3922,073,688.6915,039,804.19
  应付职工薪酬16,301,848.0612,502,658.0512,471,530.1625,047,253.86
  应交税费3,123,090.233,388,291.02537,195.114,165,049.66
  其他应付款合计85,752,026.1478,927,047.86101,675,430.9173,584,351.19
  一年内到期的非流动负债44,228,470.1845,269,369.7433,879,941.9735,250,043.85
  其他流动负债441,605,613.77414,530,902.38378,744,816.64275,650,634.94
  流动负债合计2,804,768,063.082,233,500,845.461,958,350,194.811,909,967,843.98
非流动负债:
  长期借款382,279,256.26382,308,204.79417,874,713.93417,962,662.18
  应付债券639,151,163.72634,382,029.98742,496,279.42736,963,608.19
  租赁负债--51,040.8195,216.46
  递延收益94,156,680.3195,924,138.0999,063,206.51102,756,101.25
  递延所得税负债11,758,714.212,504,095.6214,968,814.5515,812,276.12
  非流动负债合计1,127,345,814.491,125,118,468.481,274,454,055.221,273,589,864.2
  负债合计3,932,113,877.573,358,619,313.943,232,804,250.033,183,557,708.18
所有者权益(或股东权益):
  实收资本(或股本)262,943,973262,942,308255,829,168255,829,168
  其他权益工具50,044,034.2450,046,224.7559,294,910.9759,294,910.97
  资本公积1,524,953,801.671,513,683,299.921,393,767,182.851,376,697,005.94
  其他综合收益31,678,630.1124,687,702.2848,569,168.1514,249,356.41
  盈余公积40,919,912.440,919,912.440,919,912.440,919,912.4
  未分配利润445,818,328.98334,054,247.4315,286,560.72304,596,313.38
  归属于母公司股东权益合计2,356,358,680.42,226,333,694.752,113,666,903.092,051,586,667.1
  少数股东权益3,995,762.423,996,567.62--
  股东权益合计2,360,354,442.822,230,330,262.372,113,666,903.092,051,586,667.1
  负债和股东权益合计6,292,468,320.395,588,949,576.315,346,471,153.125,235,144,375.28
公告日期2025-10-222025-08-292025-04-232025-04-23
审计意见(境内)标准无保留意见
TOP↑