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容大感光

(300576)

  

流通市值:87.59亿  总市值:137.94亿
流通股本:2.33亿   总股本:3.66亿

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274,001,579.24402,717,303.04347,599,829.19289,895,253.96
  交易性金融资产206,900,00085,000,00020,000,00055,000,000
  应收票据及应收账款447,584,686.64446,564,018.79442,736,743.04411,337,427.84
  其中:应收票据3,367,834.614,704,608.635,614,375.286,245,853.02
        应收账款444,216,852.03441,859,410.16437,122,367.76405,091,574.82
  应收款项融资174,570,367.71198,583,131.66145,944,493.8170,686,881.02
  预付款项6,534,883.225,315,594.795,130,620.922,276,890.81
  其他应收款合计267,162.18991,434.89749,564.39458,701.4
  存货148,568,932.15132,673,713.66133,033,521.38133,697,608.95
  其他流动资产42,076,107.0234,937,195.7533,050,790.0330,033,747.7
  流动资产合计1,300,503,718.161,306,782,392.581,128,245,562.751,093,386,511.68
非流动资产:
  长期股权投资-295,351.21,889,395.976,209,667.42
  固定资产470,456,076.95191,609,462.07141,419,121.41126,412,364.59
  在建工程70,932,718.21328,267,819.54357,463,389.41297,374,327.2
  使用权资产7,881,034.169,359,246.7310,135,572.6310,867,548.42
  无形资产44,031,266.3944,616,868.0745,202,469.7345,788,071.4
  商誉128,117,613.97128,117,613.97128,117,613.97128,117,613.97
  长期待摊费用3,226,195.593,046,320.993,454,013.833,836,523.19
  递延所得税资产10,459,699.8510,084,402.189,557,437.359,642,127.88
  其他非流动资产27,296,914.9427,638,174.4927,294,653.5530,213,085.08
  非流动资产合计762,401,520.06743,035,259.24724,533,667.85658,461,329.15
  资产总计2,062,905,238.222,049,817,651.821,852,779,230.61,751,847,840.83
流动负债:
  应付票据及应付账款326,082,289.76341,299,594.64406,842,793.53336,562,322.11
  其中:应付票据84,991,386.11112,706,713.88177,425,778.07156,971,113.5
        应付账款241,090,903.65228,592,880.76229,417,015.46179,591,208.61
  预收款项475,800176,721.24281,700344,400
  合同负债1,270,098.011,062,636.32765,165.38833,927.62
  应付职工薪酬15,166,185.3319,015,656.5826,430,176.7415,935,706.31
  应交税费13,558,224.9812,461,418.7614,336,978.6911,088,755.79
  其他应付款合计10,556,226.338,068,576.610,518,742.4111,363,249.56
  一年内到期的非流动负债2,936,882.843,449,287.253,433,824.673,415,205.43
  其他流动负债1,694.4957,631.092,624,300.912,706,147.43
  流动负债合计370,047,401.74385,591,522.48465,233,682.33382,249,714.25
非流动负债:
  租赁负债5,580,434.856,909,438.927,439,142.88,164,467.57
  递延收益10,589,547.8410,866,198.6611,142,849.4811,419,500.3
  递延所得税负债736,377.73954,457.14807,555.48843,190.31
  非流动负债合计16,906,360.4218,730,094.7219,389,547.7620,427,158.18
  负债合计386,953,762.16404,321,617.2484,623,230.09402,676,872.43
所有者权益(或股东权益):
  实收资本(或股本)366,367,572304,755,788295,708,699295,708,699
  资本公积744,991,933.97793,116,771.83559,666,594.93556,762,767.02
  其他综合收益372,442.01---
  盈余公积54,882,466.3249,912,244.4347,756,767.5946,889,532.62
  未分配利润492,620,080.37490,667,388.98458,208,318.39441,965,960.25
  归属于母公司股东权益合计1,659,234,494.671,638,452,193.241,361,340,379.911,341,326,958.89
  少数股东权益16,716,981.397,043,841.386,815,620.67,844,009.51
  股东权益合计1,675,951,476.061,645,496,034.621,368,156,000.511,349,170,968.4
  负债和股东权益合计2,062,905,238.222,049,817,651.821,852,779,230.61,751,847,840.83
公告日期2025-08-262025-04-292025-04-242024-10-30
审计意见(境内)标准无保留意见
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