当前位置:首页 - 行情中心 - 好太太(603848) - 财务分析 - 资产负债表

好太太

(603848)

  

流通市值:131.22亿  总市值:131.22亿
流通股本:4.02亿   总股本:4.02亿

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293,149,673.67139,748,798.03272,566,765.37191,165,909.15
  交易性金融资产100,210,301.37150,485,780.82100,445,684.94-
  应收票据及应收账款90,877,075.8890,897,846.2267,669,534.4872,187,239.36
  其中:应收票据243,679.1275,499.5-938,000
        应收账款90,633,396.7690,822,346.7267,669,534.4871,249,239.36
  预付款项19,455,416.9622,467,694.3210,125,692.549,079,272.79
  其他应收款合计10,008,245.38,581,315.638,351,146.788,762,196.69
  存货129,393,993.76142,766,214.26149,515,704.21191,524,717.64
  合同资产785,392.721,050,417.19834,107.911,118,672.5
  一年内到期的非流动资产129,098,907.54117,537,660.95121,031,222.6109,613,561.64
  其他流动资产20,398,707.0522,237,540.8416,577,011.7962,150,034.38
  流动资产合计793,377,714.25695,773,268.26747,116,870.62645,601,604.15
非流动资产:
  长期股权投资7,299,313.86---
  其他权益工具投资134,758,807.91134,758,807.91134,758,807.91134,758,807.91
  投资性房地产202,948,229.06204,705,283.79206,149,779.41206,260,453.63
  固定资产391,942,977.37393,369,680.7398,258,449.97395,216,231.84
  在建工程308,926,007.52279,993,978.51249,840,533.03162,891,116.68
  使用权资产2,259,546.922,347,229.172,428,168.122,509,107.07
  无形资产1,335,702,767.421,345,246,221.761,354,542,758.091,363,330,662.11
  长期待摊费用47,019,751.8749,306,586.9444,793,770.646,017,079.85
  递延所得税资产42,724,697.4941,686,823.1738,971,698.7344,182,312.36
  其他非流动资产181,947,577.32191,577,130.75196,737,692.37199,146,058.01
  非流动资产合计2,655,529,676.742,642,991,742.72,626,481,658.232,554,311,829.46
  资产总计3,448,907,390.993,338,765,010.963,373,598,528.853,199,913,433.61
流动负债:
  应付票据及应付账款228,408,463.11200,372,655.35275,318,103.94259,093,598.95
  其中:应付票据60,735,233.2666,281,363.0581,066,414.9277,918,762.08
        应付账款167,673,229.85134,091,292.3194,251,689.02181,174,836.87
  合同负债19,562,848.6522,360,006.3420,833,823.2614,172,647.43
  应付职工薪酬22,056,529.3616,003,455.8630,933,073.1222,821,478.07
  应交税费24,597,586.0416,356,958.6423,801,149.3319,190,155.74
  其他应付款合计111,611,583.0335,566,264.9537,860,252.6245,310,440.39
        应付股利80,481,302.2---
  一年内到期的非流动负债306,421295,599.22284,911.6274,356.46
  其他流动负债2,536,398.063,419,780.962,696,210.981,826,775
  流动负债合计409,079,829.25294,374,721.32391,727,524.85362,689,452.04
非流动负债:
  长期借款172,522,327.93150,694,517.25120,864,870.0740,494,089.59
  租赁负债2,351,988.672,430,033.182,507,018.382,583,139.91
  递延收益243,697.58268,907.66294,117.74319,327.82
  递延所得税负债19,312,346.7117,591,523.7118,233,411.2318,288,215.99
  非流动负债合计194,430,360.89170,984,981.8141,899,417.4261,684,773.31
  负债合计603,510,190.14465,359,703.12533,626,942.27424,374,225.35
所有者权益(或股东权益):
  实收资本(或股本)402,406,511403,911,511404,010,000404,040,000
  资本公积357,481,258.24367,925,404.94368,577,402.12373,269,782.31
  减:库存股-11,760,549.1512,511,035.3323,150,337.75
  其他综合收益95,844,986.7295,844,986.7295,844,986.7295,844,986.72
  盈余公积227,722,463.31227,722,463.31227,722,463.31201,290,469.99
  未分配利润1,363,812,604.11,391,600,767.741,358,122,922.731,325,979,699.68
  归属于母公司股东权益合计2,447,267,823.372,475,244,584.562,441,766,739.552,377,274,600.95
  少数股东权益398,129,377.48398,160,723.28398,204,847.03398,264,607.31
  股东权益合计2,845,397,200.852,873,405,307.842,839,971,586.582,775,539,208.26
  负债和股东权益合计3,448,907,390.993,338,765,010.963,373,598,528.853,199,913,433.61
公告日期2025-08-282025-04-262025-04-262024-10-29
审计意见(境内)标准无保留意见
TOP↑