当前位置:首页 - 行情中心 - 阳光照明(600261) - 财务分析 - 资产负债表

阳光照明

(600261)

  

流通市值:53.40亿  总市值:53.40亿
流通股本:13.35亿   总股本:13.35亿

资产负债表

报告期2025-12-312025-09-302025-06-302025-03-31
公司类型通用通用通用通用
流动资产:
  货币资金2,306,006,381.3985,168,074.621,014,324,601.761,516,916,255.27
  交易性金融资产225,380,600.21,472,535,929.231,337,477,729.22973,817,620.67
  应收票据及应收账款687,648,569.01665,149,779.37662,346,243.68686,415,514.83
  其中:应收票据1,226,078.55001,285,000
        应收账款686,422,490.46665,149,779.37662,346,243.68685,130,514.83
  应收款项融资4,110,324.795,036,863.893,067,807.143,777,598.68
  预付款项12,138,253.2921,557,666.5424,749,229.3126,739,719.61
  其他应收款合计29,862,135.4129,591,790.1424,663,606.7126,698,820.58
  存货460,890,250.06474,792,380487,782,981.87456,590,786.67
  合同资产473,558.92768,862.18768,862.18768,862.18
  其他流动资产63,361,245.3334,704,169.955,133,682.9839,401,886.3
  流动资产合计3,789,871,318.313,689,305,515.873,610,314,744.853,731,127,064.79
非流动资产:
  长期股权投资16,035,135.3115,562,413.6314,957,648.5814,549,839.75
  其他非流动金融资产111,589,425.3492,684,413.6984,733,820.3584,452,820.78
  投资性房地产35,471,888.1236,176,399.4837,015,837.4237,855,275.4
  固定资产846,777,939.49863,015,400.89876,306,639.4890,886,016.99
  在建工程7,831,986.916,732,468.046,759,056.964,698,808.49
  使用权资产61,558,488.1166,581,014.9373,478,863.6574,759,406.31
  无形资产113,354,089.18112,511,075.75117,002,058.37122,879,207.69
  商誉93,537,477.9694,412,617.6295,247,309.9789,037,003.4
  长期待摊费用2,359,335.662,318,361.842,553,714.071,649,631.24
  递延所得税资产66,380,649.6173,294,560.5376,445,280.7781,609,775.54
  其他非流动资产4,639,387.212,862,464.882,801,741.472,229,031.79
  非流动资产合计1,359,535,802.91,366,151,191.281,387,301,971.011,404,606,817.38
  资产总计5,149,407,121.215,055,456,707.154,997,616,715.865,135,733,882.17
流动负债:
  短期借款23,505,341.844,291,378.1659,209,343.3241,200,712.84
  交易性金融负债503,207.091,715,428.486,290,759.61,490,662.05
  应付票据及应付账款932,855,269.7844,305,430.59863,352,602.57865,738,873.16
  其中:应付票据378,928,511.06358,496,694.56388,992,370.14407,653,907.07
        应付账款553,926,758.64485,808,736.03474,360,232.43458,084,966.09
  预收款项--00
  合同负债43,172,783.7425,946,022.7630,134,303.7532,946,736.56
  应付职工薪酬66,117,083.8984,087,711.5775,237,707.2166,933,553.93
  应交税费30,472,336.2136,674,084.4531,518,297.3628,123,339.18
  其他应付款合计181,718,546.38203,095,281.09185,625,488.66209,951,458.23
  一年内到期的非流动负债42,599,227.6228,471,960.5829,412,826.3831,364,431.9
  其他流动负债3,394,466.45825,563.571,577,551.471,439,025.04
  流动负债合计1,324,338,262.881,269,412,861.251,282,358,880.321,279,188,792.89
非流动负债:
  长期借款79,371,450.8880,304,281.1535,990,011.8633,325,968.56
  租赁负债46,326,081.4952,422,553.255,761,599.3853,411,970.77
  长期应付款-000
  长期应付职工薪酬75,622,083.3989,396,309.7190,896,309.7190,896,309.71
  递延收益49,674,239.8150,865,503.0552,121,469.8753,624,135.77
  递延所得税负债1,848,404.549,454,445.997,350,169.818,808,249.64
  非流动负债合计252,842,260.11282,443,093.1242,119,560.63240,066,634.45
  负债合计1,577,180,522.991,551,855,954.351,524,478,440.951,519,255,427.34
所有者权益(或股东权益):
  实收资本(或股本)1,335,052,9661,335,052,9661,335,052,9661,335,052,966
  资本公积36,295,898.1536,295,898.1536,295,898.1536,295,898.15
  其他综合收益20,810,886.9112,632,254.8513,838,596.247,581,663.33
  盈余公积528,682,364.96509,796,264.1509,796,264.1509,796,264.1
  未分配利润1,617,841,490.691,576,915,686.591,544,713,812.891,694,857,862.76
  归属于母公司股东权益合计3,538,683,606.713,470,693,069.693,439,697,537.383,583,584,654.34
  少数股东权益33,542,991.5132,907,683.1133,440,737.5332,893,800.49
  股东权益合计3,572,226,598.223,503,600,752.83,473,138,274.913,616,478,454.83
  负债和股东权益合计5,149,407,121.215,055,456,707.154,997,616,715.865,135,733,882.17
公告日期2026-04-212025-10-302025-08-302025-04-30
审计意见(境内)标准无保留意见
TOP↑