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三达膜

(688101)

  

流通市值:58.04亿  总市值:58.04亿
流通股本:3.32亿   总股本:3.32亿

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575,858,485.14477,723,923.55613,367,267.22571,331,157.05
  交易性金融资产1,088,806,894.581,137,767,153.99943,643,293.26949,749,527.52
  应收票据及应收账款1,146,037,907.591,101,879,411.331,075,986,514.811,112,178,417.28
  其中:应收票据69,119,379.0965,954,829.8390,723,631.1497,643,414.77
        应收账款1,076,918,528.51,035,924,581.5985,262,883.671,014,535,002.51
  应收款项融资3,382,440.1413,440,419.2367,944,371.17101,651,104.74
  预付款项39,591,277.9753,836,700.9843,147,769.9431,443,646.71
  其他应收款合计31,510,847.632,748,363.9215,016,614.6713,793,472.69
  存货815,231,084.92832,214,261.57862,334,142.48845,762,768.17
  合同资产50,245,227.8341,759,640.2736,732,339.1143,989,684.69
  其他流动资产6,793,365.1215,468,687.6513,085,477.7112,934,910.38
  流动资产合计3,757,457,530.893,706,838,562.493,671,257,790.373,682,834,689.23
非流动资产:
  长期股权投资505,579,269.7500,566,737.21484,016,189.76468,859,304.7
  其他非流动金融资产-499,349.9499,349.9499,349.9
  固定资产155,952,984.03156,043,957.36158,741,790.49162,389,450.89
  在建工程54,308,028.3153,270,523.352,427,187.4952,021,609.86
  使用权资产13,536,300.2515,512,741.817,489,183.3518,028,224.26
  无形资产1,512,405,671.31,533,854,358.731,540,777,208.571,557,050,134.66
  长期待摊费用2,253,642.152,624,508.513,120,887.283,537,093.95
  递延所得税资产95,940,707.9296,405,243.4991,132,624.592,510,600.66
  其他非流动资产82,174,308.3882,992,170.9784,659,636.1483,853,531.68
  非流动资产合计2,422,150,912.042,441,769,591.272,432,864,057.482,438,749,300.56
  资产总计6,179,608,442.936,148,608,153.766,104,121,847.856,121,583,989.79
流动负债:
  应付票据及应付账款423,782,525.91457,505,339.8466,915,375.39558,334,342.19
  其中:应付票据33,703,250.5230,148,898.7531,716,034.540,819,667.79
        应付账款390,079,275.39427,356,441.05435,199,340.89517,514,674.4
  合同负债703,247,965.95755,389,280.34803,382,832.73778,856,311.78
  应付职工薪酬18,134,078.6711,468,855.367,921,218.0428,186,409.1
  应交税费37,048,051.9646,788,835.0630,341,547.2250,232,694.79
  其他应付款合计43,163,262.5944,328,185.3558,652,899.0457,887,913.41
        应付股利39,413,88139,413,88139,413,88139,413,881
  一年内到期的非流动负债20,443,475.3130,062,396.2431,622,778.830,988,170.77
  其他流动负债71,024,846.6763,594,826.3486,673,072.3680,201,102.88
  流动负债合计1,316,844,207.061,409,137,718.491,485,509,723.581,584,686,944.92
非流动负债:
  长期借款37,685,642.4645,011,852.6144,286,01851,057,098
  租赁负债8,186,494.239,534,883.049,815,758.8211,089,464.01
  长期应付款500,000500,000500,000500,000
  预计负债314,439,148.82286,200,931.27282,498,698.04274,414,902.46
  递延收益88,824,017.0689,988,922.2393,253,077.9591,868,732.57
  非流动负债合计449,635,302.57431,236,589.15430,353,552.81428,930,197.04
  负债合计1,766,479,509.631,840,374,307.641,915,863,276.392,013,617,141.96
所有者权益(或股东权益):
  实收资本(或股本)332,012,066332,012,066332,012,066332,012,066
  资本公积1,497,699,331.051,497,275,116.181,496,455,928.31,495,688,781.56
  其他综合收益55,025.57-663,508.35131,239.78240,917.84
  盈余公积162,497,494.03162,497,494.03162,497,494.03162,497,494.03
  未分配利润2,354,797,963.452,252,147,944.622,133,136,462.812,056,911,513.83
  归属于母公司股东权益合计4,347,061,880.14,243,269,112.484,124,233,190.924,047,350,773.26
  少数股东权益66,067,053.264,964,733.6464,025,380.5460,616,074.57
  股东权益合计4,413,128,933.34,308,233,846.124,188,258,571.464,107,966,847.83
  负债和股东权益合计6,179,608,442.936,148,608,153.766,104,121,847.856,121,583,989.79
公告日期2025-10-292025-08-292025-04-292025-04-18
审计意见(境内)标准无保留意见
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