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联创电子

(002036)

  

流通市值:73.11亿  总市值:74.16亿
流通股本:10.53亿   总股本:10.69亿

资产负债表

报告期2023-09-302023-06-302023-03-312022-12-31
公司类型通用通用通用通用
流动资产:
货币资金2,788,686,388.22,908,410,192.232,718,097,342.752,672,909,541.53
应收票据及应收账款3,421,189,264.282,915,030,9013,229,330,912.253,261,090,341.66
其中:应收票据73,053,586.740,511,050.91224,049,531.88107,695,315.68
应收账款3,348,135,677.582,874,519,850.093,005,281,380.373,153,395,025.98
预付款项421,778,904.35365,209,384.78300,814,786.53217,522,288.84
其他应收款合计139,001,194.4581,840,031.6484,059,234.0290,040,788.22
存货1,734,186,434.331,701,617,780.821,631,961,800.851,388,559,957.3
其他流动资产215,582,247.56253,739,262.8252,286,454.61256,527,188.96
流动资产平衡项目0000
流动资产合计8,720,424,433.178,225,847,553.278,216,550,531.017,886,650,106.51
非流动资产:
长期应收款54,594,96549,594,96553,794,96562,874,965
长期股权投资957,656,138.35953,744,062.65951,554,936.02951,554,936.02
其他权益工具投资81,307,847.481,307,847.481,307,847.481,307,847.4
固定资产3,475,256,004.853,523,758,761.633,545,614,806.53,573,324,892.49
在建工程1,267,015,116.261,089,216,270.59883,478,017.74720,069,955.9
使用权资产25,620,050.9626,466,826.9127,846,682.0930,292,695.76
无形资产1,108,103,143.431,062,302,297.33977,756,983.49952,108,877.44
开发支出155,011,591.74146,686,840.68136,382,528.52107,667,278.62
长期待摊费用198,415,962.92212,389,675.57214,333,783.15231,963,036.95
递延所得税资产123,134,336.24123,649,585.97124,986,979.53125,202,808.47
其他非流动资产485,450,498.09362,070,049.57348,036,631.21301,388,450.4
非流动资产平衡项目0000
非流动资产合计7,931,565,655.247,631,187,183.37,345,094,160.657,137,755,744.45
资产平衡项目0000
资产总计16,651,990,088.4115,857,034,736.5715,561,644,691.6615,024,405,850.96
流动负债:
短期借款4,693,047,727.484,256,285,087.733,940,228,548.783,462,063,287.66
应付票据及应付账款2,185,896,409.992,465,040,820.822,393,220,374.672,247,341,679.16
其中:应付票据710,654,203.831,325,186,220.721,280,784,926.371,143,867,149.08
应付账款1,475,242,206.161,139,854,600.11,112,435,448.31,103,474,530.08
合同负债12,220,208.758,625,305.478,157,366.0313,382,677.3
应付职工薪酬344,272.7543,477.47743,327.56487,149.78
应交税费20,238,075.8230,735,567.9530,395,630.167,591,963.09
其他应付款合计153,277,682.05158,677,448.48174,489,267.21174,977,145.79
应付股利321,132.31321,132.31321,132.31321,132.31
一年内到期的非流动负债1,300,516,560.791,240,078,126.851,075,044,853.59903,407,733.47
其他流动负债685,871,846.02638,105,987.71594,690,171.58458,929,065.38
流动负债平衡项目0000
流动负债合计9,051,412,783.68,798,091,822.488,216,969,539.527,328,180,701.63
非流动负债:
长期借款1,243,505,098.591,021,750,314.811,208,996,944.441,312,000,000
应付债券281,411,472.99278,368,659.77275,244,112.01275,091,187.94
租赁负债1,161,441.951,211,958.171,300,150.81,329,988.41
长期应付款1,566,781,646.841,182,260,057.331,180,345,866.731,235,602,293.05
递延收益153,428,707.2155,158,663.82162,013,402.85168,343,938.28
递延所得税负债100,363,824.3100,781,337.85101,274,940.44101,705,418.5
非流动负债平衡项目0000
非流动负债合计3,346,652,191.872,739,530,991.752,929,175,417.273,094,072,826.18
负债平衡项目0000
负债合计12,398,064,975.4711,537,622,814.2311,146,144,956.7910,422,253,527.81
所有者权益(或股东权益):
实收资本(或股本)1,068,860,4251,068,851,5961,073,597,1651,073,347,092
其他权益工具48,383,935.2148,403,508.6348,407,232.2748,407,394.17
资本公积1,298,148,792.51,292,137,346.391,305,769,410.91,294,166,400.59
减:库存股154,868,440154,047,440161,977,310159,672,310
其他综合收益-7,199,623.74-3,196,464.8-23,599,445.96-19,222,012.01
盈余公积148,566,761.53148,566,761.53148,566,761.53148,566,761.53
未分配利润1,074,479,244.761,133,054,998.451,234,927,626.921,412,406,636
归属于母公司股东权益平衡项目0000
归属于母公司股东权益合计3,476,371,095.263,533,770,306.23,625,691,440.663,797,999,962.28
少数股东权益777,554,017.68785,641,616.14789,808,294.21804,152,360.87
股东权益平衡项目0000
股东权益合计4,253,925,112.944,319,411,922.344,415,499,734.874,602,152,323.15
负债和股东权益合计16,651,990,088.4115,857,034,736.5715,561,644,691.6615,024,405,850.96
公告日期2023-10-312023-08-312023-04-252023-04-25
审计意见(境内)标准无保留意见
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