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光威复材

(300699)

  

流通市值:286.43亿  总市值:289.89亿
流通股本:8.21亿   总股本:8.31亿

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1,513,077,935.781,763,984,443.451,108,371,642.32993,691,978.08
  应收票据及应收账款1,303,723,430.211,452,260,941.111,388,003,381.821,171,361,984.72
  其中:应收票据105,658,874.84141,380,159.3488,218,881.55107,405,634.23
        应收账款1,198,064,555.371,310,880,781.771,299,784,500.271,063,956,350.49
  应收款项融资665,006,420.72444,386,671.17962,521,270.17762,490,223.57
  预付款项34,930,567.4935,050,434.9325,414,790.628,482,401.86
  其他应收款合计626,400.161,198,785.912,370,211.931,522,518.76
  存货902,005,009.94798,702,243.9781,146,712.16767,926,334.22
  其他流动资产253,425,497.14244,264,275.81237,910,287.51228,099,502.73
  流动资产合计4,672,795,261.444,739,847,796.284,505,738,296.513,953,574,943.94
非流动资产:
  长期股权投资48,049,002.0428,118,530.3328,085,117.8828,103,500.45
  固定资产3,498,382,803.383,577,597,630.623,306,432,508.623,225,033,495.74
  在建工程290,317,756.86189,922,435.67243,029,034.09359,146,893.49
  使用权资产6,219,722.81585,429.811,407,638.131,901,947.12
  无形资产389,581,218.86326,415,338.88328,817,010.93331,280,829.77
  长期待摊费用46,732,862.137,466,365.3513,080,588.3214,740,606.15
  递延所得税资产49,391,120.447,890,869.3855,669,269.9751,136,242.06
  其他非流动资产64,439,182.9268,086,994.56105,277,384.477,620,465.13
  非流动资产合计4,393,113,669.374,276,083,594.64,081,798,552.344,088,963,979.91
  资产总计9,065,908,930.819,015,931,390.888,587,536,848.858,042,538,923.85
流动负债:
  短期借款979,736,494.23833,328,479.96680,810,066.62441,504,140.35
  应付票据及应付账款1,116,315,949.541,115,552,714.89866,778,001.28712,999,855
  其中:应付票据495,672,606.28418,096,390.91433,253,492.15309,959,492.74
        应付账款620,643,343.26697,456,323.98433,524,509.13403,040,362.26
  合同负债20,170,439.5926,543,354.5119,346,967.717,222,511.2
  应付职工薪酬37,628,749.6351,610,796.4417,836,275.9226,002,020.29
  应交税费36,591,463.1969,821,211.4165,934,467.8227,306,134.08
  其他应付款合计154,846,923156,029,695.69251,051,530.5251,522,590.43
  一年内到期的非流动负债326,574,459.47334,095,463.26230,259,749.82213,599,520.77
  其他流动负债2,622,157.153,450,636.12,515,105.82,238,926.46
  流动负债合计2,674,486,635.82,590,432,352.262,134,532,165.461,692,395,698.58
非流动负债:
  长期借款228,254,678.08375,758,131.48539,771,490.38592,795,596.43
  租赁负债5,409,252.391,856,751.271,833,733.963,549,791.79
  递延收益381,439,027.72388,357,861.53418,086,527.28403,570,205.96
  非流动负债合计615,102,958.19765,972,744.28959,691,751.62999,915,594.18
  负债合计3,289,589,593.993,356,405,096.543,094,223,917.082,692,311,292.76
所有者权益(或股东权益):
  实收资本(或股本)831,352,000831,352,000831,352,000831,352,000
  资本公积1,201,597,029.441,201,597,029.441,223,442,296.751,221,016,505.09
  减:库存股161,664,371.77161,664,371.77161,664,371.77161,664,371.77
  其他综合收益-10,725,180.2-7,675,316.94-3,978,077.83-3,380,546.12
  盈余公积292,454,842.83292,454,842.83287,854,444.68287,854,444.68
  未分配利润3,651,473,006.443,530,060,637.143,346,128,966.773,200,705,016.39
  归属于母公司股东权益合计5,804,487,326.745,686,124,820.75,523,135,258.65,375,883,048.27
  少数股东权益-28,167,989.92-26,598,526.36-29,822,326.83-25,655,417.18
  股东权益合计5,776,319,336.825,659,526,294.345,493,312,931.775,350,227,631.09
  负债和股东权益合计9,065,908,930.819,015,931,390.888,587,536,848.858,042,538,923.85
公告日期2026-04-242026-03-312025-10-282025-08-19
审计意见(境内)标准无保留意见
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