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三安光电

(600703)

  

流通市值:682.00亿  总市值:682.00亿
流通股本:49.89亿   总股本:49.89亿

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7,971,879,403.157,835,521,931.858,584,902,278.958,723,566,719.73
  交易性金融资产22,288,868.1322,318,811.3744,499,790.57161,502,335.02
  应收票据及应收账款6,354,198,580.266,243,110,401.96,085,788,291.546,148,950,671.5
  其中:应收票据2,738,464,036.532,605,276,085.052,607,960,126.832,727,545,584.88
        应收账款3,615,734,543.733,637,834,316.853,477,828,164.713,421,405,086.62
  应收款项融资138,048,952.56239,255,444.39243,555,823.83253,915,729.49
  预付款项297,809,820.31373,643,225.52627,412,671.39401,000,665.49
  其他应收款合计289,885,389.41307,593,653.89185,883,914.94176,419,350.53
  存货6,834,911,494.476,595,305,653.086,349,289,870.085,984,029,261.87
  其他流动资产476,403,965.97520,930,684.35482,308,222.82487,625,704.42
  流动资产合计22,385,426,474.2622,137,679,806.3522,603,640,864.1222,337,010,438.05
非流动资产:
  长期股权投资2,601,505,954.612,621,684,357.91,532,889,849.061,545,205,423.19
  其他权益工具投资17,233,013.9817,566,822.5817,757,581.2517,813,942.92
  固定资产23,385,877,295.6924,035,937,789.7224,047,600,868.6924,199,563,253.36
  在建工程2,301,522,178.72,421,289,522.892,920,977,986.333,423,326,074.95
  使用权资产8,871,448.4510,467,795.8610,341,359.119,976,852.46
  无形资产5,731,803,496.045,834,251,022.545,450,478,416.045,548,375,856.69
  开发支出205,240,270.02167,851,166.31575,245,005.9492,301,684.19
  商誉70,710,396.8670,710,396.8683,260,962.683,260,962.6
  长期待摊费用273,207,449.79283,314,434.44265,234,565.52265,079,972.38
  递延所得税资产251,291,166.53255,164,459.36244,517,248.36246,660,374.87
  其他非流动资产489,036,608.23399,997,740.27518,714,471.56586,013,418.18
  非流动资产合计35,336,299,278.936,118,235,508.7335,667,018,314.4236,417,577,815.79
  资产总计57,721,725,753.1658,255,915,315.0858,270,659,178.5458,754,588,253.84
流动负债:
  短期借款6,989,720,053.536,960,305,520.256,580,433,501.066,262,093,146.78
  应付票据及应付账款4,179,005,523.824,186,300,051.524,463,117,245.354,752,601,032.8
  其中:应付票据1,586,067,107.831,314,692,482.031,888,026,342.672,100,091,329.13
        应付账款2,592,938,415.992,871,607,569.492,575,090,902.682,652,509,703.67
  预收款项418,642.29398,262.67292,731.07291,566.07
  合同负债47,234,988.0333,700,968.66134,369,793.3113,433,844
  应付职工薪酬207,683,966.44340,646,933.97272,835,750.67228,939,852.61
  应交税费113,828,373.8190,970,272.51139,275,251.9889,806,699.52
  其他应付款合计68,874,008.12125,736,695.7880,891,543.2772,059,829.12
  一年内到期的非流动负债2,375,616,561.092,400,576,006.782,302,668,977.712,073,703,176.71
  其他流动负债727,373,080.03791,353,457.63760,361,970.89741,925,505.77
  流动负债合计14,709,755,197.1614,929,988,169.7714,734,246,765.314,334,854,653.38
非流动负债:
  长期借款3,348,631,235.073,468,244,963.873,197,088,913.123,847,142,641.92
  租赁负债4,242,715.755,617,164.946,948,607.886,692,775.13
  长期应付款701,916,666.53773,333,333.21834,749,999.89876,166,666.57
  预计负债142,695,243.47140,941,530.6658,537,573.2156,827,051.46
  递延收益3,776,691,822.143,918,815,400.794,008,311,278.384,107,807,891.69
  递延所得税负债9,436,831.439,769,917.847,283,875.687,257,224.85
  非流动负债合计7,983,614,514.398,316,722,311.318,112,920,248.168,901,894,251.62
  负债合计22,693,369,711.5523,246,710,481.0822,847,167,013.4623,236,748,905
所有者权益(或股东权益):
  实收资本(或股本)4,989,018,7274,989,018,7274,989,018,7274,989,018,727
  资本公积21,152,871,677.6321,152,073,617.8821,154,494,227.5421,153,449,792.95
  减:库存股3,499,037,221.463,499,037,221.463,499,037,221.463,499,037,221.46
  其他综合收益6,768,330.8258,645,425.8680,200,750.6792,082,290.05
  专项储备789,638.35773,042.161,024,005.621,186,636.87
  盈余公积1,191,730,476.171,191,730,476.171,123,108,582.131,123,108,582.13
  未分配利润11,057,957,110.4710,990,464,935.8611,500,902,008.2211,588,791,531.18
  归属于母公司股东权益合计34,900,098,738.9834,883,669,003.4735,349,711,079.7235,448,600,338.72
  少数股东权益128,257,302.63125,535,830.5373,781,085.3669,239,010.12
  股东权益合计35,028,356,041.6135,009,204,83435,423,492,165.0835,517,839,348.84
  负债和股东权益合计57,721,725,753.1658,255,915,315.0858,270,659,178.5458,754,588,253.84
公告日期2026-04-252026-04-252025-10-292025-08-28
审计意见(境内)标准无保留意见
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