睿创微纳

- 688002

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昨收盘:- 今开盘:- 最高价:- 最低价:-
市值:-亿元 流通:- 成交:-手 换手:-
历年数据:  2025  2024  2023  2022  2021  2020  2019  2018  2017  2016 
睿创微纳(688002) 资产负债表
单位:万元
报表日期2025-03-312024-12-312024-09-302024-06-302024-03-31
流动资产
货币资金79,438.96105,126.0687,736.72114,166.18131,837.13
交易性金融资产40,384.24--20,210.00--8,013.07
衍生金融资产----------
应收票据及应收账款142,831.94149,682.29153,815.26145,298.58154,408.66
应收票据13,334.8517,909.518,771.2011,775.0921,601.62
应收账款129,497.09131,772.78145,044.07133,523.49132,807.04
应收款项融资708.95598.46296.75451.14929.33
预付款项21,810.9118,203.4616,873.7515,195.7013,440.36
其他应收款(合计)1,558.911,117.471,474.451,146.751,223.72
应收利息----------
应收股利----------
其他应收款--1,117.47--1,146.75--
买入返售金融资产----------
存货183,913.71174,480.26172,656.12175,434.51161,073.01
划分为持有待售的资产----------
一年内到期的非流动资产----------
待摊费用----------
待处理流动资产损益----------
其他流动资产31,320.4828,502.6423,755.4426,277.777,040.88
流动资产合计502,522.95478,253.42477,251.62478,157.51478,053.40
非流动资产
发放贷款及垫款----------
可供出售金融资产----------
持有至到期投资----------
长期应收款----------
长期股权投资18,472.2918,369.3317,625.8215,579.8815,111.97
投资性房地产3,485.163,530.303,632.213,697.863,727.27
在建工程(合计)9,451.629,153.255,749.2010,861.579,623.13
在建工程--9,153.25--10,861.57--
工程物资----------
固定资产及清理(合计)191,375.77190,954.95188,441.57183,690.63180,867.07
固定资产净额--190,954.95--183,690.63--
固定资产清理----------
生产性生物资产----------
公益性生物资产----------
油气资产----------
使用权资产2,582.733,308.762,992.323,274.022,936.45
无形资产22,854.7922,443.8622,273.7422,492.1422,977.92
开发支出----------
商誉13,793.1013,793.1014,200.2714,200.2714,200.27
长期待摊费用1,506.701,779.771,661.572,086.191,764.74
递延所得税资产32,865.2128,788.1128,226.0723,664.6015,271.49
其他非流动资产23,179.2623,344.3723,124.4422,313.5828,212.16
非流动资产合计405,894.98402,366.24397,200.76395,753.14390,130.07
资产总计908,417.93880,619.67874,452.38873,910.65868,183.47
流动负债
短期借款19,804.2413,511.2618,309.6724,814.5835,329.30
交易性金融负债----------
应付票据及应付账款107,226.18107,072.07107,492.82112,465.30103,947.64
应付票据36,759.4328,742.2834,948.1827,634.4821,479.45
应付账款70,466.7578,329.7972,544.6484,830.8382,468.19
预收款项----------
应付手续费及佣金----------
应付职工薪酬19,694.2518,593.407,973.046,192.8813,755.26
应交税费6,247.036,996.328,715.2820,550.244,490.99
其他应付款(合计)2,415.541,564.16859.697,207.481,404.86
应付利息----------
应付股利------5,310.49--
其他应付款--1,564.16--1,896.99--
预提费用----------
一年内的递延收益----------
应付短期债券----------
一年内到期的非流动负债893.781,098.88983.321,501.551,292.50
其他流动负债4,398.614,857.373,702.305,295.2010,059.30
流动负债合计175,887.48168,186.48168,689.57190,666.54188,171.09
非流动负债
长期借款900.00900.00------
应付债券133,516.66132,122.48139,912.89138,419.91136,940.82
租赁负债1,295.361,885.061,695.481,459.451,336.12
长期应付职工薪酬----------
长期应付款(合计)----------
长期应付款----------
专项应付款----------
预计非流动负债4,407.843,967.712,323.533,037.903,533.94
递延所得税负债7,563.689,610.1610,459.899,514.519,633.66
长期递延收益14,554.7310,899.8711,452.4810,900.8111,395.14
其他非流动负债----------
非流动负债合计162,238.28159,385.28165,844.27163,332.58162,839.67
负债合计338,125.75327,571.76334,533.84353,999.12351,010.76
所有者权益
实收资本(或股本)45,492.2845,492.2744,843.8544,843.8544,730.41
资本公积256,828.10247,286.08227,066.58224,808.14219,069.19
减:库存股30,028.0126,501.3424,943.3421,255.2116,256.54
其他综合收益959.66963.683,113.663,060.283,083.21
专项储备236.93185.81181.88160.13134.44
盈余公积20,003.2020,003.2011,197.2211,197.2211,197.22
一般风险准备----------
未分配利润246,345.44231,763.54234,439.54208,533.90204,267.23
归属于母公司股东权益合计560,918.62540,433.90518,514.15493,963.08488,839.91
少数股东权益9,373.5612,614.0021,404.4025,948.4528,332.81
所有者权益(或股东权益)合计570,292.18553,047.91539,918.54519,911.53517,172.72
负债和所有者权益(或股东权益)总计908,417.93880,619.67874,452.38873,910.65868,183.47
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