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002243 深市 力合科创


首页 公告 力合科创:半年报财务报表

力合科创:半年报财务报表

公告日期:2025-08-28


编制单位:深圳市力合科创股份有限公司                                                      单位:人民币元

          项 目              附注              期末余额                      上年年末余额

                                            合并            公司            合并            公司

流动资产:

 货币资金                                1,594,829,341.08    127,975,493.63  1,854,871,977.26      40,128,675.20
 交易性金融资产                            436,584,958.91              -      245,514,082.18              -
 应收票据                                    2,830,100.45              -        2,973,907.73              -
 应收账款                                  973,342,715.07      25,012,324.31    952,810,332.75      18,827,846.25
 应收款项融资                                1,667,178.20              -        1,856,789.79              -
 预付款项                                  29,401,820.71        925,506.40    27,978,398.56        359,010.73
 其他应收款                                46,360,028.33  1,713,557,366.55    49,138,766.84  1,094,800,151.48
 其中:应收利息                                                    -                -                -
      应收股利                                    -                -                -                -
 存货                                    4,500,781,563.59              -    4,558,521,380.55              -
 其中:数据资源                                    -                -                -                -
 合同资产                                    3,656,757.16              -        3,656,757.16              -
 持有待售资产
 一年内到期的非流动资产

 其他流动资产                              125,991,164.39              -      123,623,512.85        518,538.70
 流动资产合计                          7,715,445,627.89  1,867,470,690.89  7,820,945,905.67  1,154,634,222.36
非流动资产:
 债权投资
 其他债权投资
 长期应收款

 长期股权投资                            2,168,695,784.65  5,093,499,471.09  2,181,365,102.65  5,093,499,471.09
 其他权益工具投资                                  -                -                -                -
 其他非流动金融资产                      2,214,910,138.28              -    2,161,195,625.57              -
 投资性房地产                            1,724,680,391.41              -    1,668,004,186.97              -
 固定资产                                1,369,054,438.06        268,106.33  1,419,205,941.73        267,320.96
 在建工程                                  284,030,539.59              -      282,335,127.87              -
 生产性生物资产
 油气资产

 使用权资产                                227,965,759.91              -      253,183,590.55              -
 无形资产                                  287,814,988.54        644,698.78    295,392,535.98        454,896.01
 其中:数据资源

 开发支出                                          -                -                -                -
 其中:数据资源

 商誉                                      92,649,869.75              -      92,649,869.75              -
 长期待摊费用                              74,316,561.46        945,278.03    79,427,973.77      1,099,867.42
 递延所得税资产                            286,847,370.34        359,827.87    284,556,290.68        348,842.52
 其他非流动资产                            42,833,134.64              -      52,676,157.04              -
 非流动资产合计                        8,773,798,976.63  5,095,717,382.10  8,769,992,402.56  5,095,670,398.00
  资产总计                              16,489,244,604.52  6,963,188,072.99  16,590,938,308.23  6,250,304,620.36

法定代表人:贺臻                                      主管会计工作负责人:徐安毕

分管会计工作负责人:任伟                              会计机构负责人:罗宏健


                            合并及公司资产负债表(续)

                项 目                附注              期末余额                      上年年末余额

                                                  合并            公司            合并            公司

流动负债:                           

 短期借款                                        105,300,000.00              -      303,594,011.16              -
 交易性金融负债

 应付票据                                          6,459,568.36              -        6,718,241.62              -
 应付账款                                        948,852,669.10      28,377,174.86  1,055,122,619.14      28,377,174.86
 预收款项                                          5,434,294.96              -        2,503,698.45              -
 合同负债                                        65,743,131.32              -        63,775,422.37              -
 应付职工薪酬                                    85,316,929.85      3,567,610.62    125,335,638.52      12,952,468.59
 应交税费                                        209,122,802.53      1,040,373.32    260,493,655.86        734,057.26
 其他应付款                                      495,536,817.58        199,500.51    375,056,544.40        206,717.11
 其中:应付利息                                                          -                -                -
      应付股利                                          -                -          800,000.00              -
 持有待售负债

 一年内到期的非流动负债                          86,109,632.64      17,726,163.89    263,68