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盛美上海

(688082)

  

流通市值:772.78亿  总市值:850.37亿
流通股本:4.36亿   总股本:4.80亿

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6,951,090,505.192,761,358,152.812,872,406,514.612,634,590,605.4
  交易性金融资产284,119,004.1151,146,086.14131,510,943.05138,136,347.39
  应收票据及应收账款2,973,619,440.912,740,874,095.242,299,768,871.82,132,274,574.65
  其中:应收票据511,60012,316,200.6315,490,426.17-
        应收账款2,973,107,840.912,728,557,894.612,284,278,445.632,132,274,574.65
  预付款项91,638,210.41106,037,827.7582,307,943.2459,517,523.6
  其他应收款合计37,121,266.4832,067,579.0428,931,261.2134,267,105.67
  其中:应收利息1,514,046.462,706,048.891,471,428.212,650,827.48
  存货4,629,304,409.344,394,333,116.44,302,045,308.514,232,200,698.68
  合同资产90,255,693.1986,141,885.0571,034,007.9769,740,101.88
  其他流动资产288,630,766.32304,347,893.18123,822,084.2195,332,821.68
  流动资产合计15,345,779,295.9410,576,306,635.619,911,826,934.599,496,059,778.95
非流动资产:
  长期股权投资219,343,974.77203,813,265.48197,570,626.6871,737,500.33
  其他非流动金融资产153,930,463.2133,425,617.72133,324,391.64133,324,391.64
  固定资产1,738,915,248.491,753,287,456.61,162,157,678.741,167,285,542.78
  在建工程58,501,687.0948,040,217.7595,950,813.65592,109,816.38
  使用权资产66,192,923.3457,777,402.8162,420,964.7535,137,626.52
  无形资产139,911,970.08146,083,593.2388,605,404.1893,181,233.3
  开发支出303,572,103.3250,287,123.05247,610,283.11182,813,971.83
  长期待摊费用6,721,303.587,857,568.967,368,588.748,439,562.13
  递延所得税资产145,753,489.9384,894,387.29111,193,822.77106,990,049.9
  其他非流动资产34,384,002.8426,757,403.31119,582,492.67241,372,909.05
  非流动资产合计2,867,227,166.622,712,224,036.152,725,785,066.932,632,392,603.86
  资产总计18,213,006,462.5613,288,530,671.7612,637,612,001.5212,128,452,382.81
流动负债:
  短期借款320,178,650379,163,250179,117,500236,043,111.11
  应付票据及应付账款1,886,393,392.211,593,559,555.951,353,827,014.911,488,314,287.07
        应付账款1,886,393,392.211,593,559,555.951,353,827,014.911,488,314,287.07
  合同负债689,057,262.78861,542,937.991,227,814,833.941,105,954,489.56
  应付职工薪酬194,864,226.47138,034,204.69178,269,439.34147,756,908.81
  应交税费68,128,240.22112,854,210.87117,167,583.15154,514,528.26
  其他应付款合计117,259,623.95417,721,975.28112,709,470.87155,040,329
        应付股利-288,252,734.66--
  一年内到期的非流动负债364,344,776.21449,118,124.02412,651,205.41234,657,612.47
  其他流动负债1,749,741.5511,301,227.3816,241,647.47,270,565.62
  流动负债合计3,641,975,913.393,963,295,486.183,597,798,695.023,529,551,831.9
非流动负债:
  长期借款1,174,538,073.3966,634,796.73765,799,142.38758,194,676.18
  租赁负债36,569,162.5533,728,475.5838,279,257.3721,617,189.58
  长期应付职工薪酬8,607,775.028,457,386.477,356,423.527,951,661.76
  预计负债20,697,298.8822,597,850.3692,235,346.3787,599,198.11
  递延收益50,020,003.4751,976,702.0355,702,345.0557,902,071.82
  非流动负债合计1,290,432,313.221,083,395,211.17959,372,514.69933,264,797.45
  负债合计4,932,408,226.615,046,690,697.354,557,171,209.714,462,816,629.35
所有者权益(或股东权益):
  实收资本(或股本)479,892,514441,291,188441,291,188438,740,753
  资本公积9,032,775,100.84,601,441,851.354,553,075,740.614,387,841,264.4
  减:库存股50,022,847.6650,022,847.66--
  其他综合收益5,003,395.256,099,750.724,953,786.885,244,077.22
  盈余公积219,370,376.5219,370,376.5219,370,376.5219,370,376.5
  未分配利润3,592,252,544.043,021,958,636.162,860,772,608.932,614,438,643.09
  归属于母公司股东权益合计13,279,271,082.938,240,138,955.078,079,463,700.927,665,635,114.21
  少数股东权益1,327,153.021,701,019.34977,090.89639.25
  股东权益合计13,280,598,235.958,241,839,974.418,080,440,791.817,665,635,753.46
  负债和股东权益合计18,213,006,462.5613,288,530,671.7612,637,612,001.5212,128,452,382.81
公告日期2025-10-302025-08-072025-04-302025-02-27
审计意见(境内)标准无保留意见
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