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XD宝光股

(600379)

  

流通市值:43.03亿  总市值:43.03亿
流通股本:3.30亿   总股本:3.30亿

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375,252,768.62369,993,214.33472,174,898.71413,721,966.19
  应收票据及应收账款582,179,892.65595,117,403.51469,229,319.23658,730,271.13
  其中:应收票据47,872,304.3374,869,538.5783,985,488.3718,255,652
        应收账款534,307,588.32520,247,864.94385,243,830.86640,474,619.13
  应收款项融资99,773,227.29100,677,439.61179,981,595.39105,393,512.93
  预付款项23,752,03028,309,161.9533,300,274.3126,345,337.18
  其他应收款合计4,505,061.9817,662,964.24,207,753.077,144,781.89
  存货280,246,667.61222,847,012.3222,960,467.28157,544,393.06
  合同资产5,508,504.165,515,264.165,495,664.164,368,639.53
  其他流动资产19,376,756.0515,330,902.4216,290,746.1110,617,726.97
  流动资产合计1,390,594,908.361,355,453,362.481,403,640,718.261,383,866,628.88
非流动资产:
  投资性房地产11,566,156.32---
  固定资产226,480,908.34212,279,252.57217,787,433.93183,865,872.54
  在建工程51,632,025.642,972,872.9815,412,409.2929,721,537.14
  使用权资产21,725,899.8424,055,214.1826,657,532.527,043,909.14
  无形资产21,870,261.944,329,627.864,622,166.544,557,886.14
  商誉8,676,027.11---
  长期待摊费用1,315,988.221,364,959.491,423,057.51,513,651.08
  递延所得税资产10,480,848.249,664,530.229,664,530.2210,260,404.92
  其他非流动资产65,554,616.6360,532,475.6584,950,553.6645,126,853.41
  非流动资产合计419,302,732.24355,198,932.95360,517,683.64302,090,114.37
  资产总计1,809,897,640.61,710,652,295.431,764,158,401.91,685,956,743.25
流动负债:
  短期借款14,600,0005,000,0005,000,0005,000,000
  应付票据及应付账款815,449,974.86767,431,825.92812,907,642.42760,100,216.76
  其中:应付票据311,234,774.36364,742,988.82401,561,894.46336,843,631.27
        应付账款504,215,200.5402,688,837.1411,345,747.96423,256,585.49
  合同负债9,645,695.5210,311,088.5812,537,668.465,943,939.27
  应付职工薪酬6,419,617.167,248,200.6114,371,086.2927,785,813.11
  应交税费4,995,167.318,521,239.043,480,066.2610,418,302.39
  其他应付款合计33,170,018.2733,206,389.0839,957,311.0846,188,985.42
        应付股利--6,937,534.8613,868,465.69
  一年内到期的非流动负债9,620,967.2510,976,530.9911,478,451.8610,105,494.64
  其他流动负债11,032,901.926,978,381.0322,392,021.745,147,122.62
  流动负债合计904,934,342.29849,673,655.25922,124,248.11870,689,874.21
非流动负债:
  长期借款26,500,00020,000,00017,265,909.92-
  租赁负债12,565,389.7814,365,111.9616,652,396.8418,869,393.59
  长期应付职工薪酬5,260,0005,260,0005,330,0006,730,000
  预计负债---1,179,134.42
  递延收益23,177,962.1221,435,518.9221,435,518.9221,658,576.2
  递延所得税负债---1,147.26
  非流动负债合计67,503,351.961,060,630.8860,683,825.6848,438,251.47
  负债合计972,437,694.19910,734,286.13982,808,073.79919,128,125.68
所有者权益(或股东权益):
  实收资本(或股本)330,201,564330,201,564330,201,564330,201,564
  资本公积10,206,617.9210,206,617.9210,206,617.9210,206,617.92
  专项储备4,679,078.724,019,211.284,776,767.65,810,605.03
  盈余公积69,880,202.6769,880,202.6769,880,202.6761,859,403.99
  未分配利润359,132,345.91356,003,756.1337,257,377.73330,902,599.93
  归属于母公司股东权益合计774,099,809.22770,311,351.97752,322,529.92738,980,790.87
  少数股东权益63,360,137.1929,606,657.3329,027,798.1927,847,826.7
  股东权益合计837,459,946.41799,918,009.3781,350,328.11766,828,617.57
  负债和股东权益合计1,809,897,640.61,710,652,295.431,764,158,401.91,685,956,743.25
公告日期2025-08-212025-04-112025-04-112024-10-30
审计意见(境内)标准无保留意见
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