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光迅科技

(002281)

  

流通市值:1124.66亿  总市值:1163.87亿
流通股本:7.79亿   总股本:8.07亿

资产负债表

报告期2026-03-312025-12-312025-09-302025-06-30
公司类型通用通用通用通用
流动资产:
  货币资金4,185,662,024.844,442,198,930.244,157,677,252.92,994,426,413.07
  应收票据及应收账款1,884,098,588.891,754,279,627.691,797,798,093.252,109,659,583.63
  其中:应收票据599,508,641.1517,749,304.8555,627,967.47392,676,520.07
        应收账款1,284,589,947.791,236,530,322.891,242,170,125.781,716,983,063.56
  应收款项融资77,843,318.79109,833,094.7793,132,047.3283,161,873.56
  预付款项339,638,540.05106,188,281.46184,384,397.27155,265,235.72
  其他应收款合计79,022,476.0871,578,498.4627,672,153.3340,255,064.55
  存货7,477,665,703.755,745,975,502.726,183,006,480.016,166,509,116.31
  一年内到期的非流动资产---314,597,949.45
  其他流动资产279,539,488.06198,424,703.64276,698,043.77363,491,478.31
  流动资产合计14,323,470,140.4612,428,478,638.9812,720,368,467.8512,227,366,714.6
非流动资产:
  长期股权投资91,020,648.1294,908,679.2782,598,241.2185,688,925.17
  固定资产2,885,326,271.032,956,351,661.12,760,530,262.182,607,543,930.61
  在建工程109,344,792.3579,539,650.7477,104,997.6458,362,443.08
  使用权资产38,190,856.4223,166,173.9936,995,460.1740,257,798.53
  无形资产332,065,845.44324,291,697.51294,251,855.23297,432,069.93
  开发支出65,385,498.6882,985,613.5102,449,161.7288,203,180.45
  商誉7,942,662.787,942,662.787,942,662.787,942,662.78
  长期待摊费用24,075,183.5425,890,832.2719,308,018.8620,557,728.48
  递延所得税资产268,830,387.84255,340,044.75193,505,151.47193,419,660.11
  其他非流动资产118,613,32464,125,450.6370,500,175.11198,151,791.04
  非流动资产合计3,940,795,470.23,914,542,466.543,645,185,986.373,597,560,190.18
  资产总计18,264,265,610.6616,343,021,105.5216,365,554,454.2215,824,926,904.78
流动负债:
  短期借款9,991,199.2410,357,689.5210,482,955.2510,567,597.65
  应付票据及应付账款5,077,985,623.244,123,460,193.514,437,134,111.284,647,775,262.48
  其中:应付票据1,724,516,197.571,832,845,778.141,761,313,049.261,461,350,746.51
        应付账款3,353,469,425.672,290,614,415.372,675,821,062.023,186,424,515.97
  合同负债1,095,218,295.04431,116,232.3592,384,362.94148,141,434.75
  应付职工薪酬165,311,101.89108,842,342.2122,412,577.7579,670,002.42
  应交税费127,194,178.67119,316,282.04105,676,627.6469,390,224.61
  其他应付款合计600,124,349.47607,840,308.58584,223,703.51753,097,971.23
        应付股利---88,736,229.4
  一年内到期的非流动负债60,913,938.06108,900,648.31118,518,704.73132,374,119.96
  其他流动负债148,090,577.0755,361,830.6977,116,488.4524,420,341.58
  流动负债合计7,284,829,262.685,565,195,527.156,047,949,531.555,865,436,954.68
非流动负债:
  长期借款195,000,000276,000,000276,000,000327,027,133.33
  租赁负债31,037,948.9318,177,937.9520,538,122.4322,186,866.65
  预计负债42,661,634.2841,114,244.7233,517,670.2730,262,969.49
  递延收益324,001,710.37297,086,681.46158,125,871.33194,623,210.61
  非流动负债合计592,701,293.58632,378,864.13488,181,664.03574,100,180.08
  负债合计7,877,530,556.266,197,574,391.286,536,131,195.586,439,537,134.76
所有者权益(或股东权益):
  实收资本(或股本)806,675,752806,675,752806,851,752806,851,752
  资本公积4,990,220,275.44,957,156,156.944,876,825,663.034,843,154,447.36
  减:库存股516,168,814516,168,814519,233,674590,154,342
  其他综合收益-8,640,188.9110,701,585.9211,461,076.7915,723,428.21
  盈余公积420,587,714.39420,587,714.39420,587,714.39420,587,714.39
  未分配利润4,647,714,482.294,407,782,810.834,180,433,423.143,833,830,795.44
  归属于母公司股东权益合计10,340,389,221.1710,086,735,206.089,776,925,955.359,329,993,795.4
  少数股东权益46,345,833.2358,711,508.1652,497,303.2955,395,974.62
  股东权益合计10,386,735,054.410,145,446,714.249,829,423,258.649,385,389,770.02
  负债和股东权益合计18,264,265,610.6616,343,021,105.5216,365,554,454.2215,824,926,904.78
公告日期2026-04-232026-04-232025-10-252025-08-28
审计意见(境内)标准无保留意见
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