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瑞丰光电

(300241)

  

流通市值:34.36亿  总市值:41.04亿
流通股本:5.86亿   总股本:7.00亿

资产负债表

报告期2025-09-302025-06-302025-03-312024-12-31
公司类型通用通用通用通用
流动资产:
  货币资金293,428,271.05402,998,288.46327,612,057.64254,684,961.53
  结算备付金--00
  拆出资金--00
  应收票据及应收账款799,120,764.8722,703,930.52654,855,811.64646,744,219.02
  其中:应收票据110,322,266.4496,220,358.4578,383,242.2372,134,773.19
        应收账款688,798,498.36626,483,572.07576,472,569.41574,609,445.83
  应收款项融资44,070,706.3946,814,400.8545,829,378.2815,849,088.45
  预付款项10,088,943.8413,650,373.8314,033,479.8313,661,699.97
  应收保费--00
  应收分保账款--00
  应收分保合同准备金--00
  其他应收款合计32,852,071.9849,312,422.1646,612,659.9444,731,439.11
  存货511,362,145.74499,715,107.72537,928,688.16497,525,095.88
  合同资产060,000.0100
  一年内到期的非流动资产133,071.41127,224.47126,086.32124,958.31
  其他流动资产16,071,494.9412,661,915.511,206,627.794,498,347.32
  流动资产合计1,707,127,470.151,748,043,663.521,638,204,789.61,477,856,977.73
非流动资产:
  发放委托贷款及垫款--00
  长期应收款128,372.93165,598.55197,834.67229,782.43
  长期股权投资200,242,869.57200,670,697.14202,905,491.95203,640,509.34
  其他权益工具投资8,555,858.918,555,858.918,564,022.748,564,022.74
  投资性房地产19,214,913.4619,382,808.0419,550,702.6119,718,597.19
  固定资产1,337,053,083.771,283,519,959.981,254,937,716.21,276,113,079.7
  在建工程141,398,453.4155,880,970.48145,758,989.57140,689,350.75
  生产性生物资产--00
  使用权资产10,374,135.7912,006,631.6913,819,224.215,322,727.78
  无形资产136,735,061.83136,161,299.18138,579,569.3140,110,333.77
  长期待摊费用4,154,507.353,540,962.434,154,239.795,524,362.73
  递延所得税资产70,946,995.9173,100,107.6369,185,138.2673,591,221.05
  其他非流动资产9,108,923.9721,898,334.1920,203,902.4727,490,729.85
  非流动资产合计1,937,913,176.891,914,883,228.221,877,856,831.761,910,994,717.33
  资产总计3,645,040,647.043,662,926,891.743,516,061,621.363,388,851,695.06
流动负债:
  短期借款213,147,083.33193,029,444.53194,672,861.81115,139,223.38
  向中央银行借款--00
  吸收存款及同业存放--00
  拆入资金--00
  应付票据及应付账款850,287,050.44950,998,178.55812,871,524.85783,517,018.37
  其中:应付票据291,031,462.12422,640,883.31294,889,169.91242,130,011.4
        应付账款559,255,588.32528,357,295.24517,982,354.94541,387,006.97
  预收款项23,423,938.2319,323,465.7115,497,408.7720,870,272.99
  合同负债7,306,725.2111,471,154.4515,464,518.428,524,396.59
  卖出回购金融资产款--00
  应付手续费及佣金--00
  应付职工薪酬33,952,532.2729,035,840.2530,366,186.3333,599,812.73
  应交税费26,060,685.9120,809,085.2916,718,303.4414,388,190.68
  其他应付款合计30,831,819.2232,659,242.8332,930,744.3434,308,719.75
  应付分保账款--00
  保险合同准备金--00
  代理买卖证券款--00
  代理承销证券款--00
  一年内到期的非流动负债72,247,010.8695,567,348.9597,653,182.9798,436,560.57
  其他流动负债68,316,296.4261,095,408.3247,034,920.5750,786,465.44
  流动负债合计1,325,573,141.891,413,989,168.881,263,209,651.51,159,570,660.5
非流动负债:
  长期借款9,800,0009,900,00021,061,978.9643,244,761.24
  租赁负债6,768,265.447,523,650.088,441,755.259,327,643.19
  长期应付款6,139,522.426,076,917.16,748,325.726,685,720.4
  预计负债464,057.14464,057.14464,057.14464,057.14
  递延收益38,388,386.1830,849,802.1333,152,628.420,424,384.07
  递延所得税负债3,091,881.482,742,842.554,123,634.373,936,863.73
  非流动负债合计64,652,112.6657,557,26973,992,379.8484,083,429.77
  负债合计1,390,225,254.551,471,546,437.881,337,202,031.341,243,654,090.27
所有者权益(或股东权益):
  实收资本(或股本)700,263,847690,497,309686,211,103686,211,103
  资本公积1,065,833,445.821,035,813,455.871,020,403,821.881,016,523,208.35
  减:库存股1,231,2501,231,2502,935,3002,935,300
  其他综合收益-1,790,499.45-1,790,499.45-1,783,560.19-1,783,560.19
  盈余公积74,192,941.7574,192,941.7574,192,941.7574,192,941.75
  未分配利润397,711,018.79377,404,092.88387,712,528.91360,229,344.77
  归属于母公司股东权益合计2,234,979,503.912,174,886,050.052,163,801,535.352,132,437,737.68
  少数股东权益19,835,888.5816,494,403.8115,058,054.6712,759,867.11
  股东权益合计2,254,815,392.492,191,380,453.862,178,859,590.022,145,197,604.79
  负债和股东权益合计3,645,040,647.043,662,926,891.743,516,061,621.363,388,851,695.06
公告日期2025-10-302025-08-272025-04-252025-04-25
审计意见(境内)标准无保留意见
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