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光威复材

(300699)

  

流通市值:230.99亿  总市值:233.78亿
流通股本:8.21亿   总股本:8.31亿

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993,691,978.081,131,427,816.491,384,247,258.62694,353,728.87
  应收票据及应收账款1,171,361,984.721,082,300,684.861,011,470,080.221,072,081,886.01
  其中:应收票据107,405,634.23159,895,424.03151,342,318.448,166,194.44
        应收账款1,063,956,350.49922,405,260.83860,127,761.821,023,915,691.57
  应收款项融资762,490,223.57801,331,206.61804,061,534.291,270,613,065.02
  预付款项28,482,401.8622,503,091.0617,837,469.2825,919,397.9
  其他应收款合计1,522,518.762,222,923.251,687,365.424,042,990.4
  存货767,926,334.22719,774,047.46713,740,155.02715,844,216.56
  其他流动资产228,099,502.73224,207,950.07205,137,899.2185,703,457.93
  流动资产合计3,953,574,943.943,983,767,719.84,138,181,762.033,988,558,742.69
非流动资产:
  长期股权投资28,103,500.4528,115,493.2128,082,883.8428,171,362.5
  固定资产3,225,033,495.742,839,714,138.512,912,313,774.832,730,412,770.62
  在建工程359,146,893.49681,239,216.02518,204,783.6514,212,428.88
  使用权资产1,901,947.122,724,155.423,218,464.414,040,672.71
  无形资产331,280,829.77333,618,790.06335,713,220.26287,696,125.82
  长期待摊费用14,740,606.1516,395,624.6616,044,621.4536,022,471.24
  递延所得税资产51,136,242.0650,549,634.1451,571,710.0657,455,203.47
  其他非流动资产77,620,465.13113,465,005.7268,423,417.71106,908,546.61
  非流动资产合计4,088,963,979.914,065,822,057.743,933,572,876.163,764,919,581.85
  资产总计8,042,538,923.858,049,589,777.548,071,754,638.197,753,478,324.54
流动负债:
  短期借款441,504,140.3563,929,289.3848,781,421.139,433,664.38
  应付票据及应付账款712,999,855578,981,681.85589,797,693.58536,883,869.53
  其中:应付票据309,959,492.74211,232,740.04204,217,577.21212,696,719.2
        应付账款403,040,362.26367,748,941.81385,580,116.37324,187,150.33
  合同负债17,222,511.224,853,986.4817,647,614.6215,865,202.12
  应付职工薪酬26,002,020.2938,717,292.6251,772,077.9920,660,169.81
  应交税费27,306,134.0851,067,144.7836,878,791.2692,263,918.73
  其他应付款合计251,522,590.43248,236,113.36392,001,561.34247,687,310
  一年内到期的非流动负债213,599,520.77293,026,200.59244,227,702.47164,002,663.05
  其他流动负债2,238,926.463,231,018.242,294,189.92,047,847.73
  流动负债合计1,692,395,698.581,302,042,727.31,383,401,052.261,118,844,645.35
非流动负债:
  长期借款592,795,596.43689,177,435.73772,040,312.71667,994,652.48
  租赁负债3,549,791.793,512,956.443,468,026.814,196,440.7
  递延收益403,570,205.96405,256,284.73420,081,381.41414,542,361.56
  非流动负债合计999,915,594.181,097,946,676.91,195,589,720.931,086,733,454.74
  负债合计2,692,311,292.762,399,989,404.22,578,990,773.192,205,578,100.09
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1,221,016,505.091,218,590,713.431,216,164,921.771,335,474,004.48
  减:库存股161,664,371.77161,664,281.8161,664,371.77161,664,371.77
  其他综合收益-3,380,546.12-3,010,170.13-2,813,426.29-6,230,416.13
  盈余公积287,854,444.68287,854,444.68287,854,444.68276,685,164.46
  未分配利润3,200,705,016.393,498,586,027.223,343,757,983.243,228,793,421.27
  归属于母公司股东权益合计5,375,883,048.275,671,708,733.45,514,651,551.635,504,409,802.31
  少数股东权益-25,655,417.18-22,108,360.06-21,887,686.6343,490,422.14
  股东权益合计5,350,227,631.095,649,600,373.345,492,763,8655,547,900,224.45
  负债和股东权益合计8,042,538,923.858,049,589,777.548,071,754,638.197,753,478,324.54
公告日期2025-08-192025-04-252025-04-012024-10-28
审计意见(境内)标准无保留意见
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