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实达集团

(600734)

  

流通市值:94.08亿  总市值:94.10亿
流通股本:21.78亿   总股本:21.78亿

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219,772,238.56230,943,845.04239,645,920.93253,315,686.21
  应收票据及应收账款122,476,216.27159,001,723.86135,286,864.36128,238,448.06
        应收账款122,476,216.27159,001,723.86135,286,864.36128,238,448.06
  预付款项79,905,953.0322,234,742.3422,459,004.3933,792,118.47
  其他应收款合计11,538,569.9612,014,603.159,744,885.789,074,594.15
  存货63,087,199.8431,710,942.161,986,118.681,309,384.82
  合同资产370,540566,487.67622,472.72622,472.72
  一年内到期的非流动资产144,353,491.03152,397,631.48139,007,684.12138,539,496.45
  其他流动资产16,873,289.2717,755,576.9115,538,625.4117,452,279.83
  流动资产合计658,377,497.96626,625,552.61564,291,576.39582,344,480.71
非流动资产:
  长期应收款202,784,367.81200,322,454.2212,441,579.53209,979,665.8
  长期股权投资26,141,630.9926,926,863.5935,255,001.9135,726,048.65
  固定资产5,836,169.096,104,516.086,329,814.855,400,884.58
  使用权资产11,232,109.8512,275,495.7122,596,301.3224,737,506.91
  无形资产141,714,827.44143,077,228.56145,557,772.35148,299,256.38
  长期待摊费用6,371.488,109.143,054,202.913,278,698.35
  递延所得税资产60,155,701.6756,864,894.3656,404,420.856,022,970.92
  其他非流动资产17,473,037.417,654,093.8817,216,274.5616,979,185.96
  非流动资产合计465,344,215.73463,233,655.52498,855,368.23500,424,217.55
  资产总计1,123,721,713.691,089,859,208.131,063,146,944.621,082,768,698.26
流动负债:
  短期借款250,334,331.92205,819,031.42195,828,500.26196,818,704.05
  应付票据及应付账款162,811,480.65162,332,618.25124,470,053.42119,624,067.03
        应付账款162,811,480.65162,332,618.25124,470,053.42119,624,067.03
  合同负债20,814,324.4712,221,762.23867,841.5614,319,941.28
  应付职工薪酬2,830,112.462,579,711.922,652,588.182,581,943.88
  应交税费2,038,024.082,016,920.212,214,476.792,686,659.92
  其他应付款合计166,356,705.36164,129,676.34162,235,428.02154,342,878.3
  其中:应付利息73,462,167.2570,279,265.2167,130,959.9564,017,251.45
        应付股利240,900240,900240,900240,900
  一年内到期的非流动负债5,530,484.66,251,852.798,725,531.6711,246,735.58
  其他流动负债11,538,477.814,145,766.4711,992,067.0213,176,628.94
  流动负债合计622,253,941.34569,497,339.63508,986,486.92514,797,558.98
非流动负债:
  租赁负债8,179,920.758,307,135.8615,511,115.7715,019,547.35
  长期应付款167,668,648.17166,141,021.45157,106,048.37151,617,031.97
  预计负债15,412,682.093,013,669.322,033,770.182,033,770.18
  递延所得税负债31,431.1931,159.9278,749.98165,544.07
  非流动负债合计191,292,682.2177,492,986.53174,929,684.3168,835,893.57
  负债合计813,546,623.54746,990,326.16683,916,171.22683,633,452.55
所有者权益(或股东权益):
  实收资本(或股本)2,178,303,1062,178,303,1062,178,303,1062,178,303,106
  资本公积1,419,737,962.011,419,737,962.011,419,737,962.011,419,737,962.01
  其他综合收益-7.87-7.53-11.29-12.42
  盈余公积19,062,040.0219,062,040.0219,062,040.0219,062,040.02
  未分配利润-3,306,758,078.72-3,274,695,720.45-3,238,821,620.71-3,219,187,064.55
  归属于母公司股东权益合计310,345,021.44342,407,380.05378,281,476.03397,916,031.06
  少数股东权益-169,931.29461,501.92949,297.371,219,214.65
  股东权益合计310,175,090.15342,868,881.97379,230,773.4399,135,245.71
  负债和股东权益合计1,123,721,713.691,089,859,208.131,063,146,944.621,082,768,698.26
公告日期2025-10-282025-08-302025-04-162025-04-16
审计意见(境内)标准无保留意见
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