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欧菲光

(002456)

  

流通市值:386.42亿  总市值:393.61亿
流通股本:32.53亿   总股本:33.13亿

资产负债表

报告期2025-03-312024-12-312024-09-302024-06-30
公司类型通用通用通用通用
流动资产:
货币资金1,971,769,165.671,166,182,442.061,710,293,363.351,676,343,831.97
应收票据及应收账款6,136,597,043.367,385,059,596.16,268,816,524.844,907,388,795.14
其中:应收票据60,075,854.3953,901,852.78266,626,555.5277,113,259.06
应收账款6,076,521,188.977,331,157,743.326,002,189,969.324,830,275,536.08
应收款项融资59,144,771.2371,655,681.5338,949,302.5158,535,363.55
预付款项17,092,755.5546,306,185.349,011,272.4637,293,455.12
其他应收款合计1,127,131,135.521,125,293,544.761,145,481,656.391,131,002,226.05
存货3,079,479,185.413,393,893,312.663,398,868,332.462,743,741,022.75
一年内到期的非流动资产186,327,684.83165,195,777.8164,332,000.01102,185,833.33
其他流动资产865,121,800.29832,419,184.21931,562,707.7746,421,832.04
流动资产平衡项目0000
流动资产合计13,445,818,199.8814,191,488,192.4213,707,315,159.7211,412,327,201.96
非流动资产:
债权投资10,097,638.8810,048,555.5510,000,000193,560,638.89
其他债权投资--7,007,4007,126,800
长期应收款10,764,660.2730,698,161.2119,777,030.4919,539,427.13
长期股权投资405,561,235.09425,875,253.34530,801,826.43527,048,051.72
其他权益工具投资458,235,605.82458,235,605.82465,015,925.68465,776,021.9
投资性房地产--322,740,968.42217,857,673.98
固定资产3,955,882,786.94,058,687,447.673,225,703,351.463,156,600,209.45
在建工程206,805,950.93170,992,784.98719,118,092.9828,258,289.79
使用权资产438,914,317.33435,395,206.37329,680,482.61359,309,063.45
无形资产1,197,445,600.651,206,253,955.891,038,939,939.551,015,519,653.75
开发支出233,791,250.58183,693,170.46257,271,246.82261,327,444.34
商誉122,270,674.27122,270,674.27122,270,674.27122,270,674.27
长期待摊费用94,061,513.22101,957,970.31111,079,376.11118,141,420.2
递延所得税资产263,510,203.83260,018,705.82325,511,039.64334,919,028.84
其他非流动资产30,971,266.6526,594,103.8645,628,169.8951,459,817.89
非流动资产平衡项目0000
非流动资产合计7,428,312,704.427,490,721,595.557,530,545,524.277,678,714,215.6
资产平衡项目0000
资产总计20,874,130,904.321,682,209,787.9721,237,860,683.9919,091,041,417.56
流动负债:
短期借款3,441,174,905.562,932,284,294.543,373,454,259.172,941,335,126.42
交易性金融负债--21,143,492.03-
应付票据及应付账款6,996,843,135.078,325,589,841.967,527,805,662.716,091,059,960.42
其中:应付票据762,965,964.38641,786,815.06490,043,762.2361,424,307
应付账款6,233,877,170.697,683,803,026.97,037,761,900.515,729,635,653.42
预收款项3,964,212.785,085,492.428,802,892.468,035,820.62
合同负债133,570,118.77135,789,887.5366,636,862.3648,586,626.89
应付职工薪酬201,131,054.42234,063,075.19209,837,724.22185,104,485
应交税费41,641,979.5450,281,368.6341,776,054.7541,565,242.46
其他应付款合计202,838,211.07204,935,524.9200,910,449.43198,784,218.68
一年内到期的非流动负债3,014,730,462.572,762,374,682.382,757,983,758.713,162,550,947.87
其他流动负债48,904,605.364,075,998.4864,842,504.5278,290,272.06
流动负债平衡项目0000
流动负债合计14,084,798,685.0814,714,480,166.0314,273,193,660.3612,755,312,700.42
非流动负债:
长期借款1,238,778,234.261,260,738,234.261,421,743,234.43830,763,234.43
租赁负债331,300,943.07339,262,330.4281,642,251.1307,724,219.63
长期应付款591,478,550.37728,412,969.25563,745,441.92597,515,124.35
预计负债13,162,306.3110,427,041.9814,772,474.6711,797,858.15
递延收益76,990,648.3379,723,085.9482,857,945.5685,194,395.73
递延所得税负债35,016,658.3535,675,868.34142,089,083.19150,121,344.53
非流动负债平衡项目0000
非流动负债合计2,286,727,340.692,454,239,530.172,506,850,430.871,983,116,176.82
负债平衡项目0000
负债合计16,371,526,025.7717,168,719,696.216,780,044,091.2314,738,428,877.24
所有者权益(或股东权益):
实收资本(或股本)3,312,151,7903,311,562,7903,311,207,7903,307,020,790
资本公积6,881,687,801.616,834,958,513.166,796,576,994.126,728,693,792.26
减:库存股162,221,635162,221,635162,221,635162,221,635
其他综合收益32,801,867.5732,721,402.8649,032,545.2853,812,897.29
盈余公积351,004,362.73351,004,362.73351,004,362.73351,004,362.73
未分配利润-6,769,689,133.26-6,710,739,374.66-6,722,001,987.32-6,729,976,670.01
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3,645,735,053.653,657,286,059.093,623,598,069.813,548,333,537.27
少数股东权益856,869,824.88856,204,032.68834,218,522.95804,279,003.05
股东权益平衡项目0000
股东权益合计4,502,604,878.534,513,490,091.774,457,816,592.764,352,612,540.32
负债和股东权益合计20,874,130,904.321,682,209,787.9721,237,860,683.9919,091,041,417.56
公告日期2025-04-252025-04-022024-10-312024-08-24
审计意见(境内)标准无保留意见
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