当前位置:首页 - 行情中心 - 太辰光(300570) - 财务分析 - 资产负债表

太辰光

(300570)

  

流通市值:261.23亿  总市值:308.71亿
流通股本:1.92亿   总股本:2.27亿

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368,443,076.58473,036,673.18490,773,551.4471,883,421.1
  交易性金融资产268,735,196.98263,816,777.28269,320,670.75251,672,112.88
  应收票据及应收账款797,132,805.54644,967,338.15656,185,826.17547,905,557.51
  其中:应收票据8,300,861.327,594,438.5815,383,845.648,995,682.95
        应收账款788,831,944.22637,372,899.57640,801,980.53538,909,874.56
  应收款项融资23,132,106.2524,379,780.0339,354,163.1138,547,282.81
  预付款项6,559,928.472,249,874.924,907,770.478,839,044.58
  其他应收款合计8,129,364.93,326,072.296,693,332.137,898,859.4
  存货386,547,791.65292,277,689.84328,857,245.79352,717,029.29
  一年内到期的非流动资产-0-81,991,895.74
  其他流动资产41,982,750.182,630,687.753,919,838.1314,380,020.54
  流动资产合计1,900,663,020.551,706,684,893.441,800,012,397.951,775,835,223.85
非流动资产:
  长期股权投资59,879,812.3359,879,812.33--
  固定资产212,260,305.05213,021,628.81207,623,134.27181,760,042.52
  在建工程7,020,555.0110,935,810.4212,208,80517,413,005.27
  使用权资产12,172,876.579,877,290.448,206,399.856,670,562.87
  无形资产43,538,749.0950,355,905.4644,756,535.5745,405,163.76
  长期待摊费用3,237,290.643,406,905.058,372,944.161,823,165.06
  递延所得税资产28,822,164.540,305,811.7333,207,088.0531,162,977.08
  其他非流动资产9,918,764.079,062,646.353,517,314.6623,803,568.76
  非流动资产合计376,850,517.26396,845,810.59317,892,221.56308,038,485.32
  资产总计2,277,513,537.812,103,530,704.032,117,904,619.512,083,873,709.17
流动负债:
  应付票据及应付账款284,241,258.92174,779,962.39246,788,246.18333,942,282.98
  其中:应付票据-0--
        应付账款284,241,258.92174,779,962.39246,788,246.18333,942,282.98
  预收款项-647,360---
  合同负债1,668,721.86695,358.641,416,138.161,809,000.5
  应付职工薪酬125,773,076.39117,526,626.19111,625,104.8899,365,668.89
  应交税费18,851,309.8125,993,140.4516,145,803.317,731,507.04
  其他应付款合计16,379,761.4716,614,087.216,074,200.5224,660,206.09
  一年内到期的非流动负债2,450,161.41,791,061.68501,886.24489,997.6
  其他流动负债2,289,173.814,351,419.0111,875,687.466,289,361.66
  流动负债合计451,006,103.66341,751,655.56404,427,066.75474,288,024.76
非流动负债:
  租赁负债10,534,003.168,789,041.198,457,878.956,243,427.78
  递延收益9,616,029.269,872,801.5313,831,303.3214,338,577.52
  非流动负债合计20,150,032.4218,661,842.7222,289,182.2720,582,005.3
  负债合计471,156,136.08360,413,498.28426,716,249.02494,870,030.06
所有者权益(或股东权益):
  实收资本(或股本)227,126,867227,126,867227,126,867227,126,867
  资本公积536,274,533.63538,546,697530,407,414.25522,582,839.11
  减:库存股14,085,00014,085,00014,085,00014,085,000
  其他综合收益-3,662,719.31-1,655,136.75-2,021,841.59-472,607
  盈余公积114,998,400114,998,400114,998,400114,998,400
  未分配利润908,322,060.46842,543,216.75803,912,958.45716,936,498.63
  归属于母公司股东权益合计1,768,974,141.781,707,475,0441,660,338,798.111,567,086,997.74
  少数股东权益37,383,259.9535,642,161.7530,849,572.3821,916,681.37
  股东权益合计1,806,357,401.731,743,117,205.751,691,188,370.491,589,003,679.11
  负债和股东权益合计2,277,513,537.812,103,530,704.032,117,904,619.512,083,873,709.17
公告日期2026-04-242026-03-312025-10-282025-08-15
审计意见(境内)标准无保留意见
TOP↑