沛尔膜业 (836744.oc)

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资产负债表(沛尔膜业)

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完整财报对比
2023年年报2023年三季报2023年中报2023年一季报2022年年报2022年三季报2022年中报
上市前/上市后 上市后上市后上市后上市后上市后上市后上市后
报表类型 合并报表合并报表合并报表合并报表合并报表合并报表合并报表
流动资产:
 货币资金(元) 4,446,102.312,388,508.864,774,769.433,780,424.164,506,193.513,049,229.142,217,899.44
 应收票据及应收账款(元) 29,627,777.6330,456,126.6520,848,406.9722,146,961.5828,943,750.8415,537,707.9712,635,484.16
  其中:应收票据(元) -2,676,192.80656,872.8030,000.00-378,750.00698,250.00
  其中:应收账款(元) 29,627,777.6327,779,933.8520,191,534.1722,116,961.5828,943,750.8415,158,957.9711,937,234.16
 预付款项(元) 1,424,507.634,966,320.985,937,615.661,787,937.36634,388.389,909,890.6212,220,293.66
 其他应收款(元) 5,131,030.046,450,711.815,983,812.855,622,511.175,985,124.386,233,614.176,107,412.25
 存货(元) 8,757,582.807,327,582.708,969,804.508,312,788.827,541,194.1010,743,456.709,875,214.16
 其他流动资产(元) 3,504,885.514,042,758.695,814,885.4412,796,733.238,511,000.00103,914.21738,095.66
 流动资产合计(元) 54,399,885.9255,632,009.6952,802,494.8554,447,356.3256,121,651.2145,577,812.8143,994,399.33
非流动资产:
 固定资产(元) 25,315,834.1326,497,168.1327,430,429.5828,554,101.9129,548,518.6230,528,154.3731,559,587.16
 在建工程(元) 7,819,530.297,819,530.298,192,549.408,192,549.408,083,084.757,950,030.297,819,530.29
 无形资产(元) 3,716,059.943,743,973.833,771,887.723,799,801.613,827,715.503,819,313.023,845,003.46
 长期待摊费用(元) 3,532,006.403,784,291.603,665,855.823,929,555.364,193,254.704,456,954.044,720,653.38
 递延所得税资产(元) 1,092,420.52755,119.09741,521.21762,264.57711,834.23753,653.57743,316.36
 其他非流动资产(元) 12,000.0012,000.0012,000.0012,000.0012,000.0012,000.0012,000.00
 非流动资产合计(元) 41,487,851.2842,612,082.9443,814,243.7345,250,272.8546,376,407.8047,520,105.2948,700,090.65
资产总计(元) 95,887,737.2098,244,092.6396,616,738.5899,697,629.17102,498,059.0193,097,918.1092,694,489.98
流动负债:
 短期借款(元) 13,012,802.7813,011,638.8912,915,950.0012,935,603.8412,917,801.9216,920,797.2216,921,347.22
 应付票据及应付账款(元) 6,910,318.685,422,918.447,609,610.357,625,083.8810,632,297.977,520,639.595,842,810.99
  其中:应付账款(元) 6,910,318.685,422,918.447,609,610.357,625,083.8810,632,297.977,520,639.595,842,810.99
 合同负债(元) 139,578.471,860,485.532,448,698.641,838,314.871,084,838.762,061,690.122,040,906.05
 应付职工薪酬(元) 384,672.39404,241.44849,251.96566,689.92369,838.49435,897.85457,114.08
 应交税费(元) 277,708.47426,740.35395,990.17200,881.621,117,188.56480,193.12897,238.91
 其他应付款(元) 1,740,516.68756,313.63877,275.643,804,474.891,419,398.621,071,561.203,134,004.00
 其他流动负债(元) 18,145.202,858,908.18838,244.80238,980.93141,029.04628,019.72655,317.77
 流动负债合计(元) 22,483,742.6724,741,246.4625,935,021.5627,210,029.9527,682,393.3629,118,798.8229,948,739.02
非流动负债:
 长期借款(元) 4,004,155.564,004,000.004,004,000.004,007,232.884,003,616.44--
 递延收益(元) 1,939,091.872,238,692.642,542,425.362,846,158.083,160,554.643,568,449.833,805,949.83
 非流动负债合计(元) 5,943,247.436,242,692.646,546,425.366,853,390.967,164,171.083,568,449.833,805,949.83
负债合计(元) 28,426,990.1030,983,939.1032,481,446.9234,063,420.9134,846,564.4432,687,248.6533,754,688.85
所有者权益(或股东权益):
 实收资本或股本(元) 48,000,000.0048,000,000.0048,000,000.0048,000,000.0048,000,000.0048,000,000.0048,000,000.00
 资本公积(元) 622,286.40622,286.40622,286.40622,286.40622,286.40622,286.40622,286.40
 盈余公积(元) 1,787,336.831,787,336.831,787,336.831,787,336.831,787,336.831,483,187.221,483,187.22
 未分配利润(元) 17,051,123.8716,850,530.3013,725,668.4315,224,585.0317,241,871.3410,305,195.838,834,327.51
 归属于母公司股东权益合计(元) 67,460,747.1067,260,153.5364,135,291.6665,634,208.2667,651,494.5760,410,669.4558,939,801.13
 股东权益合计(元) 67,460,747.1067,260,153.5364,135,291.6665,634,208.2667,651,494.5760,410,669.4558,939,801.13
负债和股东权益合计(元) 95,887,737.2098,244,092.6396,616,738.5899,697,629.17102,498,059.0193,097,918.1092,694,489.98
公告日期 2024-04-262023-10-272023-08-252023-04-282023-04-072022-10-282022-08-22
审计意见(境内) 标准无保留意见标准无保留意见
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