当前位置:首页 - 行情中心 - 力合科创(002243) - 财务分析 - 资产负债表

力合科创

(002243)

  

流通市值:74.73亿  总市值:75.66亿
流通股本:11.96亿   总股本:12.11亿

资产负债表

报告期2023-12-312023-09-302023-06-302023-03-31
公司类型通用通用通用通用
流动资产:
货币资金1,447,479,802.341,657,589,969.161,563,785,553.121,946,889,260.61
应收票据及应收账款989,575,586.41951,160,505.38926,105,915.57995,269,351.99
其中:应收票据4,139,384.5825,344,501.3237,715,464.4513,518,068.57
应收账款985,436,201.83925,816,004.06888,390,451.12981,751,283.42
应收款项融资1,939,728.751,581,927.21,119,731.8944,371.8
预付款项17,523,446.8218,311,620.4214,740,408.5623,295,603.41
其他应收款合计49,212,911.8639,250,703.1741,746,438.4345,561,561.94
存货4,035,212,398.893,773,618,398.83,578,589,962.973,392,587,898.64
合同资产1,553,720.691,629,103.281,626,894.61,832,454.5
其他流动资产101,419,412.3883,889,161.4163,712,321.6562,883,650.8
流动资产平衡项目0000
流动资产合计6,970,341,171.486,955,276,765.796,638,602,437.666,810,184,786.57
非流动资产:
长期股权投资2,095,495,694.662,011,496,529.351,988,393,918.611,934,426,060.16
其他权益工具投资-7,179,8007,225,8006,871,700
其他非流动金融资产2,070,692,730.722,015,976,470.521,963,235,962.51,813,938,591.68
投资性房地产1,434,555,386.641,465,047,226.891,482,129,405.391,498,442,829.41
固定资产1,671,543,075.961,665,462,526.351,681,091,910.611,709,042,279.79
在建工程233,166,755.98106,646,305.267,896,894.0438,758,742.38
使用权资产308,665,901.65323,090,852.03341,913,598.08454,379,625.78
无形资产310,221,462.89305,793,209.22308,797,386.39312,404,186.87
开发支出-6,914,313.66,914,313.66,914,313.6
商誉128,427,017.53139,446,042.54139,446,042.54139,446,042.54
长期待摊费用83,461,962.9484,465,804.7586,319,805.6591,699,839.05
递延所得税资产273,135,503.1172,993,558.06169,264,543.75177,303,619.25
其他非流动资产24,969,424.831,063,592.7639,247,100.9235,708,396.26
非流动资产平衡项目0000
非流动资产合计8,634,334,916.878,335,576,231.278,281,876,682.088,219,336,226.77
资产平衡项目0000
资产总计15,604,676,088.3515,290,852,997.0614,920,479,119.7415,029,521,013.34
流动负债:
短期借款220,900,617328,748,420.36427,296,917.29344,878,549.51
应付票据及应付账款814,015,757.52608,174,217.83627,180,431.14603,973,733.66
其中:应付票据9,013,985.277,740,461.335,170,657.21,544,367.68
应付账款805,001,772.25600,433,756.5622,009,773.94602,429,365.98
预收款项3,737,204.735,279,682.266,188,815.126,481,352.9
合同负债61,724,230.47118,380,839.47113,193,906.8961,140,692.19
应付职工薪酬149,212,108.17102,725,564.5898,931,969.18128,733,964.66
应交税费262,952,488.54241,652,725.58228,203,811.23267,104,780.97
其他应付款合计380,419,810.36396,436,498.96392,927,391.05399,118,241.78
应付股利1,127,000---
一年内到期的非流动负债536,780,804.92368,500,795.31396,335,282.57209,115,339.26
其他流动负债9,755,103.755,902,379.228,900,206.6215,642,911.21
流动负债平衡项目0000
流动负债合计2,439,498,125.462,175,801,123.572,299,158,731.092,036,189,566.14
非流动负债:
长期借款2,376,257,963.761,986,952,081.691,584,988,277.181,843,948,041.76
应付债券1,333,576,301.391,840,506,232.921,822,711,164.411,854,209,520.56
租赁负债266,226,650.75313,670,752.07301,438,323.63412,253,717.74
长期应付款437,082,043.352,955,258.9952,955,258.99100,000,000
预计负债1,388,287.6865,572.651,008,767.681,308,514.29
递延收益88,520,288.6181,472,952.9889,743,899.7898,698,210.07
递延所得税负债357,697,747.39287,704,725.06286,859,885.55273,435,993.71
非流动负债平衡项目0000
非流动负债合计4,860,749,282.84,564,127,576.364,139,705,577.224,583,853,998.13
负债平衡项目0000
负债合计7,300,247,408.266,739,928,699.936,438,864,308.316,620,043,564.27
所有者权益(或股东权益):
实收资本(或股本)1,210,604,2191,210,604,2191,210,604,2191,210,604,219
资本公积2,198,274,615.312,117,315,163.462,119,820,102.242,137,090,595.75
其他综合收益2,985,876.6210,537,842.611,474,456.974,297,287.73
盈余公积242,590,538.48235,426,574.61235,426,574.61235,426,574.61
未分配利润3,495,696,136.663,463,999,811.463,397,132,549.153,320,795,268.81
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7,150,151,386.077,037,883,611.136,974,457,901.976,908,213,945.9
少数股东权益1,154,277,294.021,513,040,6861,507,156,909.461,501,263,503.17
股东权益平衡项目0000
股东权益合计8,304,428,680.098,550,924,297.138,481,614,811.438,409,477,449.07
负债和股东权益合计15,604,676,088.3515,290,852,997.0614,920,479,119.7415,029,521,013.34
公告日期2024-03-272023-10-252023-08-252023-04-26
审计意见(境内)标准无保留意见
TOP↑