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联建光电

(300269)

  

流通市值:33.01亿  总市值:34.48亿
流通股本:5.26亿   总股本:5.49亿

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157,188,822.14181,812,779.01121,456,425.99169,580,166.34
  结算备付金--0-
  拆出资金--0-
  交易性金融资产--56,000,0000
  衍生金融资产--0-
  应收票据及应收账款36,837,435.2264,923,828.4170,938,795.1264,589,043.54
  其中:应收票据2,898,817.213,215,802.415,334,179.064,124,718.35
        应收账款33,938,618.0161,708,02665,604,616.0660,464,325.19
  应收款项融资--00
  预付款项6,803,756.855,604,408.122,862,730.853,474,530.94
  应收保费--0-
  应收分保账款--0-
  应收分保合同准备金--0-
  其他应收款合计4,364,027.913,545,204.953,407,946.284,741,002.62
  其中:应收利息--00
        应收股利--00
  买入返售金融资产--0-
  存货100,751,400.59104,323,893.52138,231,434.81151,458,233.63
  合同资产--00
  一年内到期的非流动资产1,075,051.871,422,325.1500
  其他流动资产8,670,219.69,720,818.918,286,423.7511,350,101.61
  流动资产合计315,690,714.18371,353,258.07401,183,756.8405,193,078.68
非流动资产:
  发放委托贷款及垫款--0-
  债权投资--0-
  其他债权投资--0-
  长期应收款-362,800.650-
  长期股权投资--0-
  其他权益工具投资616,989.69826,279.14616,989.69616,989.69
  其他非流动金融资产--0-
  投资性房地产106,608,073.58107,693,109.73230,177,981.41232,421,447.34
  固定资产153,540,444.51155,056,904.8645,051,347.846,892,650.34
  在建工程--0-
  生产性生物资产--0-
  油气资产--0-
  使用权资产12,057,497.98,326,078.8118,062,686.3821,131,245.26
  无形资产1,531,997.02550,753.99619,526.48703,261.6
  开发支出--0-
  商誉--0-
  长期待摊费用3,016,205.993,433,080.511,437,367.742,033,901.67
  递延所得税资产10,867,031.3310,806,514.038,995,353.979,648,648.51
  其他非流动资产5,346,512.017,053,540.79,693,340.949,379,496.46
  非流动资产合计293,584,752.03294,109,062.42314,654,594.41322,827,640.87
  资产总计609,275,466.21665,462,320.49715,838,351.21728,020,719.55
流动负债:
  短期借款230,000,000230,224,888.89230,000,000230,000,000
  向中央银行借款--0-
  吸收存款及同业存放--0-
  拆入资金--0-
  交易性金融负债--0-
  衍生金融负债--0-
  应付票据及应付账款172,736,324.55221,042,820.22223,181,709.14251,017,016.02
  其中:应付票据113,061,637.67154,367,615.3138,251,983.71146,136,309.75
        应付账款59,674,686.8866,675,204.9284,929,725.43104,880,706.27
  预收款项90,359.2182,602.0673,040.83-
  合同负债80,646,743.5469,577,929.04101,170,413.1698,987,982.89
  卖出回购金融资产款--0-
  应付手续费及佣金--0-
  应付职工薪酬9,679,235.6310,914,340.117,612,524.438,589,643.25
  应交税费2,077,488.74,144,238.474,805,973.181,716,940
  其他应付款合计10,329,468.9615,161,768.211,412,566.7616,983,668.63
  其中:应付利息--0-
        应付股利--0-
  应付分保账款--0-
  保险合同准备金--0-
  代理买卖证券款--0-
  代理承销证券款--0-
  一年内到期的非流动负债8,589,0067,291,568.8610,876,160.113,078,774.18
  其他流动负债6,708,202.916,258,441.247,580,471.987,866,653.3
  流动负债合计520,856,829.49564,798,597.09596,712,859.58628,240,678.27
非流动负债:
  长期借款--0-
  应付债券--0-
  优先股--0-
  永续债--0-
  租赁负债3,774,329.311,755,091.976,460,394.357,473,608.67
  长期应付款--0-
  长期应付职工薪酬--0-
  预计负债487,013.38989,635.273,439,600.263,395,114.04
  递延收益--0-
  递延所得税负债3,217,625.352,504,509.723,891,197.794,546,663.93
  其他非流动负债--0-
  非流动负债合计7,478,968.045,249,236.9613,791,192.415,415,386.64
  负债合计528,335,797.53570,047,834.05610,504,051.98643,656,064.91
所有者权益(或股东权益):
  实收资本(或股本)549,113,825549,113,825549,113,825549,113,825
  其他权益工具-2,138,153.84-2,138,153.84-2,138,153.84-2,138,153.84
  资本公积3,654,381,382.443,654,381,382.443,654,381,382.443,654,381,382.44
  减:库存股--00
  其他综合收益-59,793,390.89-62,556,161.14-62,336,705.71-62,900,586.69
  专项储备--0-
  盈余公积107,919,232.24107,919,232.24107,919,232.24107,919,232.24
  一般风险准备--0-
  未分配利润-4,168,543,226.27-4,151,305,638.26-4,141,605,280.9-4,162,011,044.51
  归属于母公司股东权益合计80,939,668.6895,414,486.44105,334,299.2384,364,654.64
  少数股东权益--00
  股东权益合计80,939,668.6895,414,486.44105,334,299.2384,364,654.64
  负债和股东权益合计609,275,466.21665,462,320.49715,838,351.21728,020,719.55
公告日期2026-04-282026-04-232025-10-272025-08-22
审计意见(境内)标准无保留意见
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