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光迅科技

(002281)

  

流通市值:535.69亿  总市值:554.39亿
流通股本:7.80亿   总股本:8.07亿

资产负债表

报告期2025-06-302025-03-312024-12-312024-09-30
公司类型通用通用通用通用
流动资产:
  货币资金2,994,426,413.072,836,016,256.283,185,356,490.922,855,705,264.94
  应收票据及应收账款2,109,659,583.632,429,532,683.863,039,125,923.173,104,827,623.26
  其中:应收票据392,676,520.07318,813,492.63690,561,562.91587,431,456.33
        应收账款1,716,983,063.562,110,719,191.232,348,564,360.262,517,396,166.93
  应收款项融资83,161,873.56132,336,475.11262,359,765.595,626,170.51
  预付款项155,265,235.7227,933,106.57211,590,45832,748,844.24
  其他应收款合计40,255,064.5535,218,920.3444,473,750.4726,390,533.29
  存货6,166,509,116.315,238,986,650.563,955,241,701.614,005,728,898.88
  一年内到期的非流动资产314,597,949.45398,863,772.79373,919,408.67265,600,911.12
  其他流动资产363,491,478.31263,519,567.23231,716,301.44205,131,282.04
  流动资产合计12,227,366,714.611,362,407,432.7411,303,783,799.7810,591,759,528.28
非流动资产:
  长期股权投资85,688,925.1783,670,904.7190,897,775.1786,864,684.62
  固定资产2,607,543,930.612,604,236,732.342,493,188,889.021,406,053,759.55
  在建工程58,362,443.0852,849,684.1374,338,491.45670,649,839.29
  使用权资产40,257,798.5342,520,908.5745,283,884.9447,343,962.32
  无形资产297,432,069.93280,570,362.11264,430,511.45261,638,138.38
  开发支出88,203,180.45101,874,640.47117,955,140.91102,503,635.35
  商誉7,942,662.787,942,662.787,942,662.787,942,662.78
  长期待摊费用20,557,728.4820,099,223.2922,354,754.0522,318,340.72
  递延所得税资产193,419,660.11180,263,079.83179,038,433.95110,978,725.96
  其他非流动资产198,151,791.04143,068,908.01187,102,595.94325,490,184.55
  非流动资产合计3,597,560,190.183,517,097,106.243,482,533,139.663,041,783,933.52
  资产总计15,824,926,904.7814,879,504,538.9814,786,316,939.4413,633,543,461.8
流动负债:
  短期借款10,567,597.659,779,153.049,464,982.58-
  应付票据及应付账款4,647,775,262.483,915,394,192.614,045,819,946.543,535,277,825.6
  其中:应付票据1,461,350,746.511,491,405,870.531,491,324,889.251,157,589,077.37
        应付账款3,186,424,515.972,423,988,322.082,554,495,057.292,377,688,748.23
  合同负债148,141,434.75354,543,036.42263,786,851.32131,014,867.97
  应付职工薪酬79,670,002.42122,852,274.181,274,656.8355,253,664.72
  应交税费69,390,224.6147,124,396.8592,845,033.4262,509,629.03
  其他应付款合计753,097,971.23295,814,400.12289,274,676.88294,928,880.03
        应付股利88,736,229.4---
  一年内到期的非流动负债132,374,119.96154,436,042.45154,866,614.76149,961,029.17
  其他流动负债24,420,341.5846,902,217.7735,078,651.4416,444,947.51
  流动负债合计5,865,436,954.684,946,845,713.364,972,411,413.774,245,390,844.03
非流动负债:
  长期借款327,027,133.33354,027,133.33405,000,000248,889,299.74
  租赁负债22,186,866.6523,620,851.1225,100,774.9829,970,620
  预计负债30,262,969.4931,701,482.331,701,482.320,881,194.56
  递延收益194,623,210.61176,591,040.27195,066,001.02201,117,062.94
  非流动负债合计574,100,180.08585,940,507.02656,868,258.3500,858,177.24
  负债合计6,439,537,134.765,532,786,220.385,629,279,672.074,746,249,021.27
所有者权益(或股东权益):
  实收资本(或股本)806,851,752793,592,652793,592,652794,201,952
  资本公积4,843,154,447.364,451,357,624.944,438,260,547.534,383,268,677.21
  减:库存股590,154,342215,319,585215,319,585222,015,792
  其他综合收益15,723,428.215,660,665.741,826,642.434,975,303.71
  盈余公积420,587,714.39420,587,714.39420,587,714.39356,994,446.2
  未分配利润3,833,830,795.443,820,959,458.813,670,773,025.233,529,620,089.58
  归属于母公司股东权益合计9,329,993,795.49,276,838,530.889,109,720,996.588,847,044,676.7
  少数股东权益55,395,974.6269,879,787.7247,316,270.7940,249,763.83
  股东权益合计9,385,389,770.029,346,718,318.69,157,037,267.378,887,294,440.53
  负债和股东权益合计15,824,926,904.7814,879,504,538.9814,786,316,939.4413,633,543,461.8
公告日期2025-08-282025-04-242025-04-242024-10-30
审计意见(境内)标准无保留意见
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