当前位置:首页 - 行情中心 - 开普云(688228) - 财务分析 - 资产负债表

开普云

(688228)

  

流通市值:87.54亿  总市值:87.54亿
流通股本:6751.82万   总股本:6751.82万

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267,209,114.93222,667,905.84248,254,749.44126,411,306.33
  交易性金融资产272,410,047.76331,652,722.78385,398,694.38370,232,209.81
  应收票据及应收账款356,980,264.62370,425,267.24426,537,807.19329,581,746.75
  其中:应收票据-3,229,785.73,229,785.75,206,551
        应收账款356,980,264.62367,195,481.54423,308,021.49324,375,195.75
  应收款项融资3,320,725306,0002,676,916.4511,954,679.14
  预付款项983,851.124,322,648.851,069,139.64,043,339.06
  其他应收款合计23,250,742.0727,367,893.0825,563,438.512,850,111.09
  存货264,540,481.63254,230,107.58194,298,270.88323,457,172.83
  合同资产75,047,728.2370,621,210.6262,936,056.1784,017,962.38
  一年内到期的非流动资产53,314,835.6221,876,712.3321,780,767.1221,552,191.78
  其他流动资产1,807,131.151,934,853.78546,980.571,436,908.16
  流动资产合计1,318,864,922.131,305,405,322.11,369,062,820.31,285,537,627.33
非流动资产:
  长期股权投资31,525,943.928,880,294.2435,472,204.5535,728,749.44
  其他权益工具投资116,517,760.82116,517,760.8284,517,760.8245,000,000
  其他非流动金融资产31,250,068.2531,250,068.2531,250,00031,250,000
  投资性房地产16,210,188.4316,320,999.7916,431,811.1516,542,622.51
  固定资产121,597,085.44121,349,360.86122,971,425.5125,224,795.39
  使用权资产11,366,238.4214,046,703.0915,640,738.4818,660,911.51
  无形资产49,766,562.3451,425,304.5929,459,28329,932,332.95
  开发支出8,623,691.2-18,127,365.3715,560,232.96
  商誉164,477,767.55164,516,977.07164,556,201.59174,844,502.43
  长期待摊费用1,494,748.122,703,362.132,974,647.443,443,372.84
  递延所得税资产27,660,935.6924,398,987.1921,133,018.3730,492,772.59
  其他非流动资产10,852,009.5663,460,196.1762,902,945.2162,417,739.73
  非流动资产合计591,342,999.72634,870,014.2605,437,401.48589,098,032.35
  资产总计1,910,207,921.851,940,275,336.31,974,500,221.781,874,635,659.68
流动负债:
  短期借款74,455,693.9461,153,867.660,291,271.5155,938,795.88
  应付票据及应付账款172,133,782.25172,435,493.07204,680,271.63162,781,675.64
  其中:应付票据--2,682,009.2-
        应付账款172,133,782.25172,435,493.07201,998,262.43162,781,675.64
  合同负债53,737,548.7669,045,070.659,088,701.2977,071,344.4
  应付职工薪酬20,181,341.3623,417,711.0623,684,111.4220,788,562.87
  应交税费7,005,533.017,116,015.7715,109,560.114,086,491.68
  其他应付款合计21,663,191.8923,897,559.0224,872,007.316,011,748.35
  一年内到期的非流动负债16,296,706.8616,673,980.6816,748,576.6317,450,722.21
  其他流动负债17,685,352.7519,264,534.120,827,820.5214,946,833.28
  流动负债合计383,159,150.82393,004,231.9425,302,320.41369,076,174.31
非流动负债:
  长期借款95,000,000100,000,000100,000,000106,275,000
  租赁负债5,309,138.948,221,819.949,589,329.1712,486,611.47
  长期应付款6,700,0006,625,0006,550,0006,475,000
  预计负债-1,779,654.561,842,664.87-
  递延收益1,092,100840,900783,732.95440,032.39
  递延所得税负债2,217,403.632,467,202.532,446,643.411,352,430.11
  非流动负债合计110,318,642.57119,934,577.03121,212,370.4127,029,073.97
  负债合计493,477,793.39512,938,808.93546,514,690.81496,105,248.28
所有者权益(或股东权益):
  实收资本(或股本)67,518,24067,518,24067,518,24067,518,240
  资本公积932,600,240.58929,970,648.57929,772,169.63951,792,708.41
  减:库存股47,012,231.0147,012,231.0147,012,231.0163,386,318.5
  其他综合收益23,092,596.723,092,596.723,092,596.7-
  盈余公积33,759,12033,759,12033,759,12033,416,314.01
  未分配利润288,286,210.89295,238,062.39294,505,827.84258,179,105.19
  归属于母公司股东权益合计1,298,244,177.161,302,566,436.651,301,635,723.161,247,520,049.11
  少数股东权益118,485,951.3124,770,090.72126,349,807.81131,010,362.29
  股东权益合计1,416,730,128.461,427,336,527.371,427,985,530.971,378,530,411.4
  负债和股东权益合计1,910,207,921.851,940,275,336.31,974,500,221.781,874,635,659.68
公告日期2025-08-162025-04-262025-03-312024-10-30
审计意见(境内)标准无保留意见
TOP↑