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金百泽

(301041)

  

流通市值:23.34亿  总市值:31.55亿
流通股本:7892.06万   总股本:1.07亿

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70,360,830.4183,856,940.09176,427,751.67127,202,475.91
  交易性金融资产194,576,188.42174,889,63089,466,640157,059,200
  应收票据及应收账款240,601,006.56282,220,300.28238,347,077.94240,768,460.79
  其中:应收票据41,355,547.9965,155,492.8239,080,458.8527,746,794.13
        应收账款199,245,458.57217,064,807.46199,266,619.09213,021,666.66
  应收款项融资10,271,073.5518,464,562.4919,355,371.346,706,096.9
  预付款项2,853,404.474,846,589.51,855,817.374,344,183.51
  其他应收款合计857,645.51708,641.23636,000.092,235,582.94
  存货67,325,791.3359,840,878.4451,233,147.9852,543,639.4
  合同资产1,473,801.851,525,705.571,525,705.57-
  其他流动资产7,907,815.6110,833,806.727,834,890.497,479,784.18
  流动资产合计596,227,557.71637,187,054.32586,682,402.45598,339,423.63
非流动资产:
  长期股权投资238,073.08689,656.42689,156.42565,035.47
  其他非流动金融资产32,348,461.821,518,461.821,518,461.821,171,566.31
  固定资产185,148,924.5189,452,510.3190,745,578.85190,735,664.2
  在建工程2,578,289.264,488,287.497,831,803.274,209,411.24
  使用权资产16,141,257.9417,222,625.8918,956,864.4119,477,169.77
  无形资产11,946,872.3612,290,736.3312,634,600.1112,893,028.22
  商誉37,680.5637,680.5637,680.5637,680.56
  长期待摊费用21,946,547.5823,934,834.2125,491,613.4925,802,048.58
  递延所得税资产17,249,980.0215,961,181.6714,737,223.9315,817,738.45
  其他非流动资产4,721,196.324,469,912.644,064,051.317,760,787.05
  非流动资产合计292,357,283.42290,065,887.31296,707,034.15298,470,129.85
  资产总计888,584,841.13927,252,941.63883,389,436.6896,809,553.48
流动负债:
  短期借款---40,060,622.23
  应付票据及应付账款135,406,748.83119,661,187.31118,987,832.06112,258,600.79
        应付账款135,406,748.83119,661,187.31118,987,832.06112,258,600.79
  合同负债18,124,602.1147,525,170.9512,111,021.6118,670,298.35
  应付职工薪酬14,984,835.7714,812,844.0617,235,374.9714,844,321.96
  应交税费5,924,473.346,130,736.575,184,007.84,184,735.29
  其他应付款合计4,615,481.654,680,112.253,433,292.692,930,313.48
  一年内到期的非流动负债2,650,097.042,987,280.893,973,628.923,398,381.29
  其他流动负债17,685,014.9347,497,522.5921,416,905.8513,041,703.55
  流动负债合计199,391,253.67243,294,854.62182,342,063.9209,388,976.94
非流动负债:
  租赁负债3,972,895.414,498,847.844,359,099.545,904,813.57
  递延收益5,846,136.475,437,228.85,718,011.854,820,181.04
  递延所得税负债4,035,210.164,074,230.553,437,831.564,700,889.6
  非流动负债合计13,854,242.0414,010,307.1913,514,942.9515,425,884.21
  负债合计213,245,495.71257,305,161.81195,857,006.85224,814,861.15
所有者权益(或股东权益):
  实收资本(或股本)106,680,000106,680,000106,680,000106,680,000
  资本公积270,866,627.33270,866,627.33270,866,627.33270,866,627.33
  减:库存股30,011,380.3630,011,380.3615,052,040.611,561,533.15
  盈余公积12,213,243.5212,213,243.5212,213,243.5211,929,186.64
  未分配利润314,450,756.67308,597,757.67311,026,160.71293,666,143.74
  归属于母公司股东权益合计674,199,247.16668,346,248.16685,733,990.96671,580,424.56
  少数股东权益1,140,098.261,601,531.661,798,438.79414,267.77
  股东权益合计675,339,345.42669,947,779.82687,532,429.75671,994,692.33
  负债和股东权益合计888,584,841.13927,252,941.63883,389,436.6896,809,553.48
公告日期2025-08-262025-04-292025-04-292024-10-29
审计意见(境内)标准无保留意见
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