当前位置:首页 - 行情中心 - 东阳光(600673) - 财务分析 - 资产负债表

东阳光

(600673)

  

流通市值:1062.55亿  总市值:1065.38亿
流通股本:30.02亿   总股本:30.10亿

资产负债表

报告期2026-03-312025-12-312025-09-302025-06-30
公司类型通用通用通用通用
流动资产:
  货币资金5,801,619,998.645,217,881,038.75,502,590,929.666,416,049,082.66
  交易性金融资产11,166,258.4234,372,830.11329,713,057.9132,191,808.62
  应收票据及应收账款3,735,380,356.343,091,591,181.863,141,125,404.12,973,095,811.78
  其中:应收票据1,664,894.754,288,108.5614,9459,065
        应收账款3,733,715,461.593,087,303,073.33,141,110,459.12,973,086,746.78
  应收款项融资781,843,471.44362,401,658.48666,638,096.14739,800,316.25
  预付款项734,098,059.09297,041,128.18607,509,028.03434,225,615.8
  其他应收款合计253,116,399.37246,630,375.03227,606,418.28279,683,365.58
        应收股利---27,930,185.14
  存货2,076,806,097.221,883,196,953.41,844,414,053.311,938,796,474.69
  其他流动资产137,727,372.46156,305,259.95136,515,563.83129,496,432.12
  流动资产平衡项目-0.01000
  流动资产合计13,531,758,012.9711,289,420,425.7112,456,112,551.2612,943,338,907.5
非流动资产:
  长期股权投资4,615,348,532.861,038,920,459.04951,669,193.33850,750,652.47
  其他非流动金融资产2,615,242,441.742,682,116,863.713,312,953,809.673,236,689,329.76
  固定资产7,934,506,356.138,079,962,474.247,593,339,358.677,692,018,827.4
  在建工程1,372,394,562.61,185,156,570.51,847,815,825.341,308,347,418.64
  使用权资产40,974,987.6744,711,684.0836,527,128.7725,649,702.63
  无形资产2,182,275,566.332,103,986,807.062,118,326,147.512,128,958,332.88
  商誉1,595,616.681,595,616.681,595,616.681,595,616.68
  长期待摊费用216,908,909.22197,962,338.72206,986,501.1231,382,287.9
  递延所得税资产188,604,794.41200,425,336.24205,869,704.83205,742,897.16
  其他非流动资产196,897,320.53,167,006,741.55465,862,506.37494,779,856.13
  非流动资产平衡项目0.01000
  非流动资产合计19,364,749,088.1518,701,844,891.8216,740,945,792.2716,175,914,921.65
  资产总计32,896,507,101.1229,991,265,317.5329,197,058,343.5329,119,253,829.15
流动负债:
  短期借款9,020,770,522.248,381,399,312.128,795,729,510.299,109,822,802.97
  交易性金融负债--67,120-
  应付票据及应付账款3,279,875,595.022,621,788,095.952,154,765,347.612,623,845,328.35
  其中:应付票据579,663,250.96168,252,947.1315,509,752.75420,915,103.03
        应付账款2,700,212,344.062,453,535,148.851,839,255,594.862,202,930,225.32
  预收款项668,583500,000500,000500,000
  合同负债118,649,237.3696,338,797.5374,464,771.6151,982,685.27
  应付职工薪酬165,767,266.89189,765,727.23130,857,871.12112,220,343.89
  应交税费120,329,778.5794,050,768.29131,253,961.5998,374,097.29
  其他应付款合计245,963,071.4552,465,880.77199,546,924.71203,352,794.68
        应付股利7,754,182.989,494,818.9833,713,478.436,404,440.56
  一年内到期的非流动负债2,279,622,379.562,338,002,302.421,961,239,440.292,065,642,051.55
  其他流动负债15,461,425.9111,268,497.139,680,420.316,757,749.08
  流动负债合计15,247,107,859.9514,285,579,381.4413,458,105,367.5314,272,497,853.08
非流动负债:
  长期借款4,294,957,685.273,502,983,063.783,634,901,749.73,297,972,194.72
  应付债券486,406,237.29484,733,267.48483,090,576.53481,447,885.59
  租赁负债32,663,386.6234,279,581.0829,012,306.8813,632,384.37
  长期应付款66,933,30066,933,30066,933,30066,933,300
  预计负债138,453,589.09136,769,832.72137,195,091.59135,584,104.8
  递延收益223,904,882.74230,154,830.88237,024,560.79221,373,739.06
  递延所得税负债205,731,640.53217,574,165.49325,715,541.14327,700,403.34
  其他非流动负债1,343,964,768.1855,590,932.98758,984,923.86533,526,556.83
  非流动负债合计6,793,015,489.645,529,018,974.415,672,858,050.495,078,170,568.71
  负债合计22,040,123,349.5919,814,598,355.8519,130,963,418.0219,350,668,421.79
所有者权益(或股东权益):
  实收资本(或股本)3,009,555,0593,009,555,0593,009,555,0593,009,555,059
  资本公积1,632,909,322.861,528,230,393.751,579,651,610.471,579,359,817.69
  减:库存股-445,477,568.2651,296,672.58651,296,672.58
  其他综合收益-1,454,430.96-1,454,430.96-2,546,612.54-2,348,762.91
  专项储备2,716,769.662,194,630.11990,042.321,299,816.24
  盈余公积687,948,786.87687,948,786.87687,948,786.87687,948,786.87
  未分配利润4,597,220,360.714,477,944,231.165,112,326,1784,819,459,413.12
  归属于母公司股东权益合计9,928,895,868.149,258,941,101.739,736,628,391.549,443,977,457.43
  少数股东权益927,487,883.39917,725,859.95329,466,533.97324,607,949.93
  股东权益合计10,856,383,751.5310,176,666,961.6810,066,094,925.519,768,585,407.36
  负债和股东权益合计32,896,507,101.1229,991,265,317.5329,197,058,343.5329,119,253,829.15
公告日期2026-04-282026-04-102025-10-282025-08-15
审计意见(境内)标准无保留意见
TOP↑