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瑞联新材

(688550)

  

流通市值:77.10亿  总市值:77.10亿
流通股本:1.74亿   总股本:1.74亿

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654,927,918.97807,297,538.57666,028,670.85902,604,193.39
  交易性金融资产350,557,246.57180,080,520.55339,526,364.38150,173,446.37
  应收票据及应收账款376,173,016.97298,432,530.54242,914,605.11290,116,369.32
  其中:应收票据54,531,574.0823,828,611.377,865,693.7810,669,150.81
        应收账款321,641,442.89274,603,919.17235,048,911.33279,447,218.51
  应收款项融资22,135,063.5141,459,458.2931,056,706.5331,754,417.09
  预付款项8,231,697.4310,105,349.347,420,459.9811,313,014.9
  其他应收款合计1,196,582.41,552,039.97304,634.561,075,509.55
  存货511,119,233.29484,227,586.5485,143,763.67461,441,747.01
  其他流动资产85,069,464.0745,234,707.4743,482,178.3941,266,468.4
  流动资产合计2,009,410,223.211,868,389,731.231,815,877,383.471,889,745,166.03
非流动资产:
  长期股权投资107,957,679.91107,271,438.62105,784,563.4929,445,563.59
  其他权益工具投资69,360,305.4369,360,305.4369,360,305.4336,827,235.1
  固定资产1,037,297,420.791,060,487,612.541,098,966,025.951,065,075,975.14
  在建工程165,204,856.87164,071,059.65150,765,805.6177,564,506.09
  无形资产88,740,684.3382,030,385.2482,753,555.8583,658,238.33
  开发支出31,277,484.335,159,740.5231,975,826.6731,778,047.45
  长期待摊费用2,907,357.793,013,372.363,119,386.933,225,401.5
  递延所得税资产45,079,161.9634,997,647.6626,413,347.4923,824,178.98
  其他非流动资产5,861,465.158,832,538.8512,853,132.9221,415,406.96
  非流动资产合计1,553,686,416.531,565,224,100.871,581,991,950.331,472,814,553.14
  资产总计3,563,096,639.743,433,613,832.13,397,869,333.83,362,559,719.17
流动负债:
  短期借款5,003,561.6415,100,164.3910,066,657.5420,047,152.31
  应付票据及应付账款239,788,409.39194,317,060.92224,259,667.55253,198,754.07
  其中:应付票据65,000,00020,000,00030,000,00083,000,000
        应付账款174,788,409.39174,317,060.92194,259,667.55170,198,754.07
  合同负债5,499,462.948,622,729.84,480,366.68787,028.56
  应付职工薪酬57,958,590.3147,246,229.2363,584,513.3858,120,653.58
  应交税费42,308,079.2419,641,630.4718,958,049.1417,894,804.9
  其他应付款合计6,653,769.683,231,278.343,470,186.995,415,049.49
  其他流动负债53,693,776.8444,342,525.278,397,689.639,907,819.71
  流动负债合计410,905,650.04332,501,618.42333,217,130.91365,371,262.62
非流动负债:
  递延收益32,159,218.1132,896,235.6433,630,753.1734,213,206.52
  递延所得税负债5,852,517.595,591,807.65,684,742.366,297,018.46
  非流动负债合计38,011,735.738,488,043.2439,315,495.5340,510,224.98
  负债合计448,917,385.74370,989,661.66372,532,626.44405,881,487.6
所有者权益(或股东权益):
  实收资本(或股本)173,575,305172,107,058174,731,320174,731,320
  资本公积1,956,766,656.561,925,603,097.321,998,882,7941,992,970,153.75
  减:库存股--67,186,154.6661,428,371.98
  其他综合收益3,234,552.543,211,705.812,838,042.03753,516.29
  盈余公积78,057,138.8978,057,138.8978,057,138.8958,296,809.67
  未分配利润902,545,601.01883,645,170.42838,013,567.1791,354,803.84
  归属于母公司股东权益合计3,114,179,2543,062,624,170.443,025,336,707.362,956,678,231.57
  股东权益合计3,114,179,2543,062,624,170.443,025,336,707.362,956,678,231.57
  负债和股东权益合计3,563,096,639.743,433,613,832.13,397,869,333.83,362,559,719.17
公告日期2025-08-222025-04-192025-04-192024-10-29
审计意见(境内)标准无保留意见
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