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容大感光

(300576)

  

流通市值:85.35亿  总市值:135.74亿
流通股本:2.30亿   总股本:3.66亿

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238,784,410.31237,820,371.84269,309,574.41274,001,579.24
  交易性金融资产125,000,000169,000,000188,000,000206,900,000
  应收票据及应收账款490,715,401.67474,231,790.54460,443,884.54447,584,686.64
  其中:应收票据755,744.621,663,834.864,640,405.443,367,834.61
        应收账款489,959,657.05472,567,955.68455,803,479.1444,216,852.03
  应收款项融资170,237,392.92159,807,729.67138,355,249.63174,570,367.71
  预付款项5,402,164.678,810,465.149,652,042.636,534,883.22
  其他应收款合计277,908.24291,165.65291,521.88267,162.18
  存货163,928,569.67157,395,865.87152,210,883.72148,568,932.15
  其他流动资产59,664,000.5251,966,331.548,829,824.7442,076,107.02
  流动资产合计1,254,009,8481,259,323,720.211,267,092,981.551,300,503,718.16
非流动资产:
  固定资产584,778,276.28564,043,571.85490,797,599.47470,456,076.95
  在建工程70,224,600.5244,435,543.9391,267,662.6570,932,718.21
  使用权资产5,943,780.066,625,060.686,504,145.857,881,034.16
  无形资产56,185,518.0257,511,675.9643,848,484.4744,031,266.39
  商誉128,117,613.97128,117,613.97128,117,613.97128,117,613.97
  长期待摊费用4,199,237.764,404,681.862,839,274.583,226,195.59
  递延所得税资产10,661,174.4910,215,956.7610,482,102.6810,459,699.85
  其他非流动资产10,754,480.1417,869,705.9430,596,32127,296,914.94
  非流动资产合计870,864,681.24833,223,810.95804,453,204.67762,401,520.06
  资产总计2,124,874,529.242,092,547,531.162,071,546,186.222,062,905,238.22
流动负债:
  应付票据及应付账款297,628,170.72285,365,055.36296,301,024.25326,082,289.76
  其中:应付票据100,749,632.9362,922,537.1867,882,124.484,991,386.11
        应付账款196,878,537.79222,442,518.18228,418,899.85241,090,903.65
  预收款项169,800283,200346,800475,800
  合同负债939,277.21,317,910.761,267,417.661,270,098.01
  应付职工薪酬20,268,527.7829,919,495.5217,789,025.7915,166,185.33
  应交税费18,171,060.3418,054,011.6317,940,398.513,558,224.98
  其他应付款合计21,250,515.1718,679,162.3111,358,459.0110,556,226.33
  一年内到期的非流动负债2,629,977.612,592,036.482,489,990.422,936,882.84
  其他流动负债100,721.71133,217.785,310.681,694.49
  流动负债合计361,158,050.53356,344,089.84347,498,426.31370,047,401.74
非流动负债:
  租赁负债3,611,289.954,283,663.944,239,451.475,580,434.85
  递延收益9,639,831.159,959,231.9710,278,632.7910,589,547.84
  递延所得税负债885,338.66665,751.35700,949.49736,377.73
  非流动负债合计14,136,459.7614,908,647.2615,219,033.7516,906,360.42
  负债合计375,294,510.29371,252,737.1362,717,460.06386,953,762.16
所有者权益(或股东权益):
  实收资本(或股本)366,367,572366,367,572366,367,572366,367,572
  资本公积749,437,802.28746,968,812.3748,209,392.84744,991,933.97
  其他综合收益-321,250.65528,278.87440,290.46372,442.01
  专项储备741,903.71631,999.49--
  盈余公积61,516,361.6458,885,216.5757,329,879.5154,882,466.32
  未分配利润562,985,288.41538,767,549.97520,116,878.72492,620,080.37
  归属于母公司股东权益合计1,740,727,677.391,712,149,429.21,692,464,013.531,659,234,494.67
  少数股东权益8,852,341.569,145,364.8616,364,712.6316,716,981.39
  股东权益合计1,749,580,018.951,721,294,794.061,708,828,726.161,675,951,476.06
  负债和股东权益合计2,124,874,529.242,092,547,531.162,071,546,186.222,062,905,238.22
公告日期2026-04-282026-04-282025-10-282025-08-26
审计意见(境内)标准无保留意见
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