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*ST中装

(002822)

  

流通市值:28.10亿  总市值:33.34亿
流通股本:7.76亿   总股本:9.21亿

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202,519,165.14197,399,724.32236,892,033.01204,427,912.01
  交易性金融资产6,036,993.276,666,187.587,027,978.617,385,706.1
  应收票据及应收账款1,492,159,655.461,613,753,092.591,695,073,225.661,910,285,983.92
  其中:应收票据69,800.92466,716.958,839,014.641,743,839.66
        应收账款1,492,089,854.541,613,286,375.641,686,234,211.021,908,542,144.26
  应收款项融资7,406.95115,497.661,814,216.71-
  预付款项10,699,314.811,890,198.619,719,948.0622,125,722.95
  其他应收款合计233,097,444.56214,440,808.13209,240,310.78208,149,384.9
        应收股利-6,013,189.136,227,474.84-
  存货638,754,385.75570,505,244.09524,028,316.24647,973,907.31
  合同资产1,686,231,308.391,814,728,687.631,850,123,577.142,136,244,987.86
  其他流动资产41,946,975.5846,173,497.7148,627,963.3752,727,474.34
  流动资产合计4,311,452,649.94,475,672,938.324,582,547,569.585,189,321,079.39
非流动资产:
  长期应收款---5,760,594.26
  长期股权投资72,374,295.8372,283,606.2671,867,681.4681,822,447.17
  投资性房地产109,823,519.07111,339,740.64112,855,962.21124,867,570.27
  固定资产380,610,603.96407,194,212.76413,994,889.17422,677,244.82
  在建工程413,353,661.42398,679,657.64394,220,342.41524,832,632.42
  使用权资产13,203,256.7613,508,184.2414,183,822.2212,316,627.25
  无形资产212,574,905.36217,764,503.15224,518,601.63231,572,483.25
  开发支出---927,829.69
  商誉137,263,811.67140,261,937.68140,261,937.68176,361,416.04
  长期待摊费用1,616,150.072,216,668.752,445,743.452,917,500.98
  递延所得税资产11,169,669.911,197,967.8111,242,164.0323,563,763.73
  其他非流动资产132,448,988.05139,858,904.35143,118,055.85186,721,006.82
  非流动资产合计1,484,438,862.091,514,305,383.281,528,709,200.111,794,341,116.7
  资产总计5,795,891,511.995,989,978,321.66,111,256,769.696,983,662,196.09
流动负债:
  短期借款1,076,827,275.221,076,827,275.221,076,827,375.311,076,177,783.49
  应付票据及应付账款1,418,048,647.971,336,905,354.531,422,278,606.231,235,308,778.15
  其中:应付票据---4,158,551.54
        应付账款1,418,048,647.971,336,905,354.531,422,278,606.231,231,150,226.61
  预收款项625,114.04279,882.63279,882.63-
  合同负债69,833,454.7394,949,398.0265,633,948.5888,504,765.46
  应付职工薪酬122,043,938.15116,666,806.84123,878,048.397,552,355.4
  应交税费357,197,203.07344,897,482.63344,604,009.02351,915,189.3
  其他应付款合计488,507,899.18421,861,831.1391,031,727.39369,049,674.83
  其中:应付利息187,431,026.9150,710,419.12119,872,749.3195,487,167.87
        应付股利29,620,836.6629,620,836.6629,620,836.6632,443,830.04
  一年内到期的非流动负债315,093,395.22338,719,785.38334,934,408.12160,761,917.23
  其他流动负债64,612,627.9276,455,925.8194,249,883.0583,725,263.22
  流动负债合计3,912,789,555.53,807,563,742.163,853,717,888.633,462,995,727.08
非流动负债:
  长期借款209,635,351.33195,950,223.87195,950,223.87366,895,901.51
  应付债券946,224,016.75938,443,284.31958,854,257.471,015,551,110.54
  租赁负债14,623,081.4214,734,575.1814,457,740.4812,298,746.82
  长期应付款14,604,438.1414,448,021.8314,703,465.2114,700,722.21
  预计负债32,902,450.0932,291,93632,635,918.261,969,072.93
  递延收益2,226,236.92,296,539.172,366,841.442,437,143.71
  递延所得税负债6,538,521.076,604,178.966,667,388.388,755,429.38
  非流动负债合计1,226,754,095.71,204,768,759.321,225,635,835.051,482,608,127.1
  负债合计5,139,543,651.25,012,332,501.485,079,353,723.684,945,603,854.18
所有者权益(或股东权益):
  实收资本(或股本)734,677,285734,671,821728,232,728713,690,573
  其他权益工具205,879,583.83205,885,030.25212,375,776.54227,029,517.16
  资本公积1,353,957,147.881,353,851,189.521,323,246,833.111,255,722,237.77
  减:库存股4,996,4254,996,4254,996,4254,996,425
  其他综合收益-4,980,120.44-4,980,120.44-4,980,120.44-4,980,120.44
  盈余公积155,941,237.1155,941,237.1155,941,237.1155,941,237.1
  未分配利润-1,711,375,265.41-1,394,022,371.27-1,314,989,239.18-322,876,822.98
  归属于母公司股东权益合计729,103,442.961,046,350,361.161,094,830,790.132,019,530,196.61
  少数股东权益-72,755,582.17-68,704,541.04-62,927,744.1218,528,145.3
  股东权益合计656,347,860.79977,645,820.121,031,903,046.012,038,058,341.91
  负债和股东权益合计5,795,891,511.995,989,978,321.66,111,256,769.696,983,662,196.09
公告日期2025-08-292025-04-302025-04-252024-10-30
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