当前位置:首页 - 行情中心 - 科翔股份(300903) - 财务分析 - 资产负债表

科翔股份

(300903)

  

流通市值:58.24亿  总市值:73.57亿
流通股本:3.28亿   总股本:4.15亿

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356,937,470.27510,595,097.63597,720,622.63838,662,628.63
  交易性金融资产-19,101,177.360,946,570.9688,070,015.94
  应收票据及应收账款1,737,415,410.531,931,281,606.31,775,270,863.591,829,147,636.68
  其中:应收票据102,040,270.14102,479,729.9470,564,318.9566,167,020.05
        应收账款1,635,375,140.391,828,801,876.361,704,706,544.641,762,980,616.63
  应收款项融资199,646,436.27205,897,290.51312,252,442.44240,835,692.77
  预付款项4,490,923.33,453,864.36,046,226.244,476,007.64
  其他应收款合计12,860,974.5314,754,996.1616,166,152.1517,054,379.58
  存货546,713,040.49514,919,518.84499,727,224.42475,959,642.82
  其他流动资产301,424,824.46348,830,517.63276,959,158.82279,833,223.04
  流动资产合计3,159,489,079.853,548,834,068.673,545,089,261.253,774,039,227.1
非流动资产:
  长期股权投资5,492,8485,562,205.225,114,119.415,233,746.75
  固定资产2,616,313,158.542,659,326,952.132,556,106,655.432,629,892,558.7
  在建工程293,308,913.95298,133,452.4419,779,080.3394,169,628.68
  使用权资产68,991,331.0272,940,391.34107,676,357.71101,590,729.79
  无形资产196,838,972.56198,615,800.16200,471,472.38201,913,399.58
  商誉9,482,825.399,482,825.399,482,825.399,482,825.39
  长期待摊费用77,508,182.580,008,114.0383,344,816.3585,212,328.27
  递延所得税资产164,712,855.1152,576,137.22149,072,223.14140,257,980.63
  其他非流动资产14,984,478.8215,823,590.7313,111,906.298,800,788.04
  非流动资产合计3,447,633,565.883,492,469,468.623,544,159,456.43,576,553,985.83
  资产总计6,607,122,645.737,041,303,537.297,089,248,717.657,350,593,212.93
流动负债:
  短期借款1,063,229,364.981,126,781,297.131,121,073,471.631,121,747,581.25
  应付票据及应付账款2,755,423,314.443,020,048,498.372,996,662,672.383,161,479,252.73
  其中:应付票据345,593,438.46368,921,806.37368,351,217.84506,311,279.26
        应付账款2,409,829,875.982,651,126,6922,628,311,454.542,655,167,973.47
  合同负债5,419,650.4610,291,899.5911,255,887.9710,738,082.33
  应付职工薪酬51,938,562.7786,009,998.3861,147,277.9189,397,495.79
  应交税费6,850,166.585,864,931.825,188,486.897,018,313.67
  其他应付款合计22,007,493.3224,803,731.9532,239,070.7835,104,796.26
  一年内到期的非流动负债332,006,466.2350,976,676.08360,448,010.21341,309,466.75
  其他流动负债64,128,539.8452,396,936.616,858,456.9920,735,351.7
  流动负债合计4,301,003,558.594,677,173,969.924,604,873,334.764,787,530,340.48
非流动负债:
  长期借款200,032,254.38202,737,400247,024,200262,933,200
  租赁负债31,087,786.2933,218,574.5937,964,252.138,084,159.39
  长期应付款109,250,033.85133,060,402.71161,739,971.35190,203,626.79
  预计负债1,671,6022,903,1076,423,167.776,279,759.96
  递延收益197,870,056.17171,745,155.6173,423,505.03171,101,854.46
  递延所得税负债22,359,384.0123,220,124.2824,113,288.6423,787,008.12
  非流动负债合计562,271,116.7566,884,764.18650,688,384.89692,389,608.72
  负债合计4,863,274,675.295,244,058,734.15,255,561,719.655,479,919,949.2
所有者权益(或股东权益):
  实收资本(或股本)414,694,422414,694,422414,694,422414,694,422
  资本公积1,613,176,308.641,611,407,236.51,622,726,830.911,617,349,238.39
  减:库存股20,019,05220,019,05220,019,05214,721,657
  盈余公积16,860,241.1516,860,241.1516,860,241.1516,860,241.15
  未分配利润-299,624,879.51-241,953,566.33-213,183,740.51-179,919,415.95
  归属于母公司股东权益合计1,725,087,040.281,780,989,281.321,821,078,701.551,854,262,828.59
  少数股东权益18,760,930.1616,255,521.8712,608,296.4516,410,435.14
  股东权益合计1,743,847,970.441,797,244,803.191,833,686,9981,870,673,263.73
  负债和股东权益合计6,607,122,645.737,041,303,537.297,089,248,717.657,350,593,212.93
公告日期2025-10-302025-08-292025-04-252025-04-25
审计意见(境内)标准无保留意见
TOP↑