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东阳光

(600673)

  

流通市值:622.82亿  总市值:624.48亿
流通股本:30.02亿   总股本:30.10亿

资产负债表

报告期2025-09-302025-06-302025-03-312024-12-31
公司类型通用通用通用通用
流动资产:
  货币资金5,502,590,929.666,416,049,082.664,985,132,814.034,251,776,515.53
  交易性金融资产329,713,057.9132,191,808.6231,157,710.3829,744,369.73
  应收票据及应收账款3,141,125,404.12,973,095,811.782,493,490,562.262,342,952,322.83
  其中:应收票据14,9459,0651,213,115.542,894,656.13
        应收账款3,141,110,459.12,973,086,746.782,492,277,446.722,340,057,666.7
  应收款项融资666,638,096.14739,800,316.25797,277,148.81315,734,122.33
  预付款项607,509,028.03434,225,615.8551,770,735.56525,310,366.83
  其他应收款合计227,606,418.28279,683,365.58225,897,322.18242,597,858.49
        应收股利-27,930,185.14--
  存货1,844,414,053.311,938,796,474.691,816,304,185.861,771,518,483.05
  其他流动资产136,515,563.83129,496,432.12138,717,534.67170,043,922.17
  流动资产合计12,456,112,551.2612,943,338,907.511,039,748,013.759,649,677,960.96
非流动资产:
  长期股权投资951,669,193.33850,750,652.47797,984,232.41779,257,413.13
  其他非流动金融资产3,312,953,809.673,236,689,329.763,131,378,145.943,142,018,015.93
  固定资产7,593,339,358.677,692,018,827.47,776,786,847.67,717,082,222.61
  在建工程1,847,815,825.341,308,347,418.641,251,732,781.471,371,576,057.8
  使用权资产36,527,128.7725,649,702.6331,061,096.4634,988,924.47
  无形资产2,118,326,147.512,128,958,332.882,136,930,889.92,145,207,718.75
  商誉1,595,616.681,595,616.681,595,616.681,595,616.68
  长期待摊费用206,986,501.1231,382,287.9224,720,569.56204,354,588.88
  递延所得税资产205,869,704.83205,742,897.16221,182,251.25223,767,112.44
  其他非流动资产465,862,506.37494,779,856.13467,824,033.9691,127,999.5
  非流动资产合计16,740,945,792.2716,175,914,921.6516,041,196,465.2315,710,975,670.19
  资产总计29,197,058,343.5329,119,253,829.1527,080,944,478.9825,360,653,631.15
流动负债:
  短期借款8,795,729,510.299,109,822,802.977,961,532,288.227,088,445,738.43
  交易性金融负债67,120-753,1008,249,715
  应付票据及应付账款2,154,765,347.612,623,845,328.352,682,588,031.042,653,273,959.78
  其中:应付票据315,509,752.75420,915,103.03660,742,889.78390,205,522.75
        应付账款1,839,255,594.862,202,930,225.322,021,845,141.262,263,068,437.03
  预收款项500,000500,000503,379.08503,379.08
  合同负债74,464,771.6151,982,685.2743,338,724.9481,506,421.05
  应付职工薪酬130,857,871.12112,220,343.89141,697,074.81155,005,655.04
  应交税费131,253,961.5998,374,097.2981,527,915.0949,552,259.53
  其他应付款合计199,546,924.71203,352,794.68219,730,132.81331,928,559.38
        应付股利33,713,478.436,404,440.5615,291,019.3815,291,019.38
  一年内到期的非流动负债1,961,239,440.292,065,642,051.551,661,458,907.631,616,683,761.15
  其他流动负债9,680,420.316,757,749.085,634,728.859,950,385.03
  流动负债合计13,458,105,367.5314,272,497,853.0812,798,764,282.4711,995,099,833.47
非流动负债:
  长期借款3,634,901,749.73,297,972,194.723,144,778,923.282,765,708,753.2
  应付债券483,090,576.53481,447,885.59469,086,677.98-
  租赁负债29,012,306.8813,632,384.3717,938,980.420,350,433.32
  长期应付款66,933,30066,933,30066,933,30066,933,300
  预计负债137,195,091.59135,584,104.8133,977,191.54133,079,577.59
  递延收益237,024,560.79221,373,739.06221,149,399.91230,602,514.2
  递延所得税负债325,715,541.14327,700,403.34314,128,891.18315,498,300.78
  其他非流动负债758,984,923.86533,526,556.83483,941,860.28377,086,264.09
  非流动负债合计5,672,858,050.495,078,170,568.714,851,935,224.573,909,259,143.18
  负债合计19,130,963,418.0219,350,668,421.7917,650,699,507.0415,904,358,976.65
所有者权益(或股东权益):
  实收资本(或股本)3,009,555,0593,009,555,0593,013,874,2593,013,874,259
  资本公积1,579,651,610.471,579,359,817.691,613,129,240.411,613,129,240.41
  减:库存股651,296,672.58651,296,672.58688,656,233.29377,403,184.6
  其他综合收益-2,546,612.54-2,348,762.91-1,454,430.96-1,454,430.96
  专项储备990,042.321,299,816.241,191,881.111,797,063.97
  盈余公积687,948,786.87687,948,786.87687,948,786.87687,948,786.87
  未分配利润5,112,326,1784,819,459,413.124,480,516,742.094,202,474,262.67
  归属于母公司股东权益合计9,736,628,391.549,443,977,457.439,106,550,245.239,140,365,997.36
  少数股东权益329,466,533.97324,607,949.93323,694,726.71315,928,657.14
  股东权益合计10,066,094,925.519,768,585,407.369,430,244,971.949,456,294,654.5
  负债和股东权益合计29,197,058,343.5329,119,253,829.1527,080,944,478.9825,360,653,631.15
公告日期2025-10-282025-08-152025-04-252025-04-10
审计意见(境内)标准无保留意见
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