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聚灿光电

(300708)

  

流通市值:68.73亿  总市值:89.51亿
流通股本:5.22亿   总股本:6.80亿

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1,545,941,252.081,447,847,846.631,552,985,290.851,679,654,963.07
应收票据及应收账款617,968,364.7619,629,350.34630,185,982.88582,911,417.44
其中:应收票据114,669,019.8151,347,145.68164,889,528.24141,484,072.71
应收账款503,299,344.9468,282,204.66465,296,454.64441,427,344.73
应收款项融资173,030,807.12162,229,253.75117,831,402.1499,541,401.66
预付款项2,635,609.985,945,787.647,854,092.354,716,609.52
其他应收款合计14,505,630.1810,126,304.424,599,808.325,985,661.21
存货334,064,346.88292,675,082.55239,521,565.66257,655,543.41
其他流动资产40,755,138.8128,915,319.9528,794,799.5736,040,092.39
流动资产平衡项目0000
流动资产合计2,728,901,149.752,687,368,945.282,721,772,941.773,096,505,688.7
非流动资产:
投资性房地产82,882,170.4383,579,197.9884,276,225.5380,396,016.85
固定资产1,616,988,838.041,615,428,906.171,486,064,784.721,137,787,959.6
在建工程207,888,743.4787,789,348.69156,565,559.3378,325,644.94
使用权资产3,882,795.434,120,183.064,357,570.69467,213.3
无形资产23,106,374.2323,424,518.9123,742,663.5324,060,808.18
递延所得税资产83,899,714.0783,732,801.8385,897,036.7184,978,296.36
其他非流动资产52,466,420.7386,461,318.2369,577,693.136,590,295.29
非流动资产平衡项目0000
非流动资产合计2,071,115,056.41,984,536,274.871,910,481,533.611,712,606,234.52
资产平衡项目0000
资产总计4,800,016,206.154,671,905,220.154,632,254,475.384,809,111,923.22
流动负债:
短期借款299,500,000414,500,000525,000,000796,000,000
应付票据及应付账款1,640,007,974.831,474,730,519.311,294,489,302.451,233,385,858.26
其中:应付票据1,158,317,924.731,014,920,990.48903,582,219.14942,227,652.04
应付账款481,690,050.1459,809,528.83390,907,083.31291,158,206.22
合同负债6,699,862.257,260,975.797,607,347.095,689,540.92
应付职工薪酬24,095,481.7422,564,876.1531,836,481.0623,002,612.77
应交税费5,561,258.897,765,256.226,505,442.685,295,893.38
其他应付款合计3,226,227.533,314,723.993,333,264.83,767,260.12
一年内到期的非流动负债904,790.97456,693.37403,348.26116,298.54
其他流动负债62,058,900.9860,969,532.7842,726,695.9263,181,514.11
流动负债平衡项目0000
流动负债合计2,042,054,497.191,991,562,577.611,911,901,882.262,130,438,978.1
非流动负债:
租赁负债3,054,626.433,481,138.973,512,596.97105,048.23
非流动负债平衡项目0000
非流动负债合计3,054,626.433,481,138.973,512,596.97105,048.23
负债平衡项目0000
负债合计2,045,109,123.621,995,043,716.581,915,414,479.232,130,544,026.33
所有者权益(或股东权益):
实收资本(或股本)680,152,346676,211,846676,211,846676,211,846
资本公积1,859,261,504.471,840,442,024.051,838,714,118.341,836,976,139.23
减:库存股300,051,520.27300,051,520.27300,051,520.27300,051,520.27
专项储备485,890.11727,584.41934,726.63421,608.38
盈余公积52,029,173.7652,029,173.7652,029,173.7652,029,173.76
未分配利润463,029,688.46407,502,395.62449,001,651.69412,980,649.79
归属于母公司股东权益平衡项目0000
归属于母公司股东权益合计2,754,907,082.532,676,861,503.572,716,839,996.152,678,567,896.89
股东权益平衡项目0000
股东权益合计2,754,907,082.532,676,861,503.572,716,839,996.152,678,567,896.89
负债和股东权益合计4,800,016,206.154,671,905,220.154,632,254,475.384,809,111,923.22
公告日期2025-07-222025-04-112025-01-252024-10-11
审计意见(境内)标准无保留意见标准无保留意见
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