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联创光电

(600363)

  

流通市值:134.38亿  总市值:134.38亿
流通股本:4.55亿   总股本:4.55亿

资产负债表

报告期2023-09-302023-06-302023-03-312022-12-31
公司类型通用通用通用通用
流动资产:
货币资金1,632,563,607.971,580,726,911.341,455,715,132.061,605,454,489.14
应收票据及应收账款1,062,599,474.15883,649,842.99933,259,253.3679,157,209.32
其中:应收票据172,359,949.6123,183,270.16118,021,175.1986,008,903.8
应收账款890,239,524.55760,466,572.83815,238,078.11593,148,305.52
预付款项48,861,770.2440,048,802.5238,088,989.4938,639,654.59
其他应收款合计208,828,366.78175,380,700.8200,947,085.96162,495,554.57
应收股利122,000,610122,000,610122,000,610122,000,610
存货687,023,891.68722,602,629.05766,437,415.32801,145,350.27
其他流动资产8,112,960.739,272,1499,198,513.6214,799,383.22
流动资产平衡项目0000
流动资产合计3,647,990,071.553,411,681,035.73,403,646,389.753,301,691,641.11
非流动资产:
长期股权投资2,622,745,366.262,524,676,485.142,416,966,443.872,325,585,106.87
其他权益工具投资4,940,490.684,940,490.684,940,490.684,940,490.68
其他非流动金融资产24,674,068.8124,704,068.8124,674,068.8124,704,068.81
投资性房地产4,905,995.847,041,048.083,798,028.974,292,128.56
固定资产930,442,964.61938,654,377.98959,153,212.17967,797,204.99
在建工程58,116,627.4753,014,215.352,404,049.5249,857,274.02
使用权资产2,793,676.393,210,709.973,684,476.164,523,084.48
无形资产145,819,684.21149,606,925.45147,701,839.87146,734,266.13
开发支出--7,951,626.15-
长期待摊费用44,975,131.5545,007,735.3742,980,557.0146,417,335.42
递延所得税资产119,101,587.12109,972,537.46113,566,426.65105,602,680.74
其他非流动资产11,487,599.9443,104,438.1540,345,594.5330,251,161.67
非流动资产平衡项目0000
非流动资产合计3,970,003,192.883,903,933,032.393,818,166,814.393,710,704,802.37
资产平衡项目0000
资产总计7,617,993,264.437,315,614,068.097,221,813,204.147,012,396,443.48
流动负债:
短期借款912,315,650.67787,642,322.44848,462,807.87757,417,414.58
衍生金融负债1,477,5601,477,560--
应付票据及应付账款1,083,783,604.881,037,786,809.43998,648,462.99999,779,628.07
其中:应付票据368,952,877.58299,786,906.47234,732,587.84258,140,388.8
应付账款714,830,727.3737,999,902.96763,915,875.15741,639,239.27
合同负债16,012,160.5221,277,295.5765,961,224.1843,599,437.8
应付职工薪酬64,804,787.5556,921,277.1641,999,141.5169,798,191.49
应交税费33,385,087.5134,388,584.113,705,109.3730,467,159.48
其他应付款合计145,622,764.41117,963,204.06129,835,083.11122,391,154.01
应付股利2,189,0502,189,0502,189,0502,189,050
一年内到期的非流动负债271,954,871.08216,941,965.41181,589,187.52165,352,275.92
其他流动负债40,448,960.5427,579,658.220,671,435.0731,755,954.78
流动负债平衡项目0000
流动负债合计2,569,805,447.162,301,978,676.372,300,872,451.622,220,561,216.13
非流动负债:
长期借款271,920,951407,220,951450,940,951448,540,951
租赁负债1,353,115.81,783,242.822,267,283.582,021,198
长期应付款156,400,000114,400,000114,400,000114,400,000
预计负债17,042,02514,186,77511,383,200-
递延收益9,817,514.2810,423,734.7414,442,666.8811,987,420.85
递延所得税负债15,387,760.9115,428,879.7411,562,787.7311,579,975.99
非流动负债平衡项目0000
非流动负债合计471,921,366.99563,443,583.3604,996,889.19588,529,545.84
负债平衡项目0000
负债合计3,041,726,814.152,865,422,259.672,905,869,340.812,809,090,761.97
所有者权益(或股东权益):
实收资本(或股本)455,225,750455,225,750455,225,750455,245,750
资本公积1,032,267,708.131,032,267,708.131,032,487,949.351,032,690,949.35
减:库存股52,336,48052,336,48052,338,68052,561,680
其他综合收益9,406,992.328,024,693.063,023,624.572,830,788.07
盈余公积237,582,942.9237,582,942.9237,582,942.9237,582,942.9
未分配利润2,289,563,556.92,190,003,917.432,091,487,849.161,997,098,213.2
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3,971,710,470.253,870,768,531.523,767,469,435.983,672,886,963.52
少数股东权益604,555,980.03579,423,276.9548,474,427.35530,418,717.99
股东权益平衡项目0000
股东权益合计4,576,266,450.284,450,191,808.424,315,943,863.334,203,305,681.51
负债和股东权益合计7,617,993,264.437,315,614,068.097,221,813,204.147,012,396,443.48
公告日期2023-10-312023-07-272023-04-282023-04-28
审计意见(境内)标准无保留意见
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