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聚灿光电

(300708)

  

流通市值:62.84亿  总市值:83.09亿
流通股本:7.10亿   总股本:9.39亿

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1,178,402,841.181,326,920,697.481,506,490,928.911,545,941,252.08
  交易性金融资产206,634,350.57250,000,000316,000,000-
  应收票据及应收账款654,264,559.19635,831,173.68622,745,156.61617,968,364.7
  其中:应收票据101,765,537.53116,046,106.1198,017,767.46114,669,019.8
        应收账款552,499,021.66519,785,067.57524,727,389.15503,299,344.9
  应收款项融资200,001,311.3996,972,043.89136,554,953.26173,030,807.12
  预付款项15,609,716.738,779,272.9221,494,215.392,635,609.98
  其他应收款合计8,792,197.558,166,849.312,659,902.9114,505,630.18
  存货659,588,741.69625,768,053.46457,948,882.33334,064,346.88
  其他流动资产69,658,936.3474,485,138.4660,029,875.5540,755,138.81
  流动资产合计2,992,952,654.643,026,923,229.193,133,923,914.962,728,901,149.75
非流动资产:
  投资性房地产80,791,087.6881,488,115.2882,185,142.8582,882,170.43
  固定资产1,601,574,608.151,622,784,303.651,609,258,769.081,616,988,838.04
  在建工程277,595,321.17220,431,787.17288,330,657.85207,888,743.47
  使用权资产3,170,632.543,408,020.173,645,407.83,882,795.43
  无形资产22,276,940.3122,598,403.5122,919,866.7723,106,374.23
  递延所得税资产82,391,442.8682,605,582.182,249,815.0483,899,714.07
  其他非流动资产55,312,800.0732,422,663.7125,535,232.7852,466,420.73
  非流动资产合计2,123,112,832.782,065,738,875.592,114,124,892.172,071,115,056.4
  资产总计5,116,065,487.425,092,662,104.785,248,048,807.134,800,016,206.15
流动负债:
  短期借款710,600,000461,599,815.18376,599,815.18299,500,000
  应付票据及应付账款1,297,469,993.921,543,767,635.921,952,245,284.721,640,007,974.83
  其中:应付票据849,123,876.541,122,453,097.861,451,609,669.821,158,317,924.73
        应付账款448,346,117.38421,314,538.06500,635,614.9481,690,050.1
  合同负债42,308,263.12453,068.25,183,761.756,699,862.25
  应付职工薪酬25,372,968.332,117,602.826,600,889.8324,095,481.74
  应交税费2,199,172.329,863,259.2411,152,679.685,561,258.89
  其他应付款合计84,072,353.83102,891,223.763,392,177.523,226,227.53
  一年内到期的非流动负债405,118.29394,956.24655,625.69904,790.97
  其他流动负债52,703,966.2472,545,065.0349,029,132.3862,058,900.98
  流动负债合计2,215,131,836.022,223,632,626.372,424,859,366.752,042,054,497.19
非流动负债:
  租赁负债2,639,677.592,639,677.572,841,816.623,054,626.43
  递延收益-5,772,560.22--
  非流动负债合计2,639,677.598,412,237.792,841,816.623,054,626.43
  负债合计2,217,771,513.612,232,044,864.162,427,701,183.372,045,109,123.62
所有者权益(或股东权益):
  实收资本(或股本)938,915,144938,915,144938,915,144680,152,346
  资本公积1,326,643,961.051,318,380,107.621,310,138,858.751,859,261,504.47
  减:库存股---300,051,520.27
  专项储备31,644.65212,967.35183,331.06485,890.11
  盈余公积66,747,748.8466,747,748.8452,029,173.7652,029,173.76
  未分配利润565,955,475.27536,361,272.81519,081,116.19463,029,688.46
  归属于母公司股东权益合计2,898,293,973.812,860,617,240.622,820,347,623.762,754,907,082.53
  股东权益合计2,898,293,973.812,860,617,240.622,820,347,623.762,754,907,082.53
  负债和股东权益合计5,116,065,487.425,092,662,104.785,248,048,807.134,800,016,206.15
公告日期2026-04-242026-03-212025-10-152025-07-22
审计意见(境内)标准无保留意见标准无保留意见
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