当前位置:首页 - 行情中心 - 奥普科技(603551) - 财务分析 - 资产负债表

奥普科技

(603551)

  

流通市值:42.34亿  总市值:42.92亿
流通股本:3.85亿   总股本:3.90亿

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1,038,534,955.15963,642,671.411,059,025,151.441,141,991,949.87
  应收票据及应收账款132,408,435.1127,356,829.6136,134,158.33138,091,706.93
  其中:应收票据950,000950,000475,000475,000
        应收账款131,458,435.1126,406,829.6135,659,158.33137,616,706.93
  应收款项融资100,000527,954.22,049,472.692,264,358.86
  预付款项4,597,532.763,683,023.13,927,181.53,502,350.18
  其他应收款合计26,537,570.9836,865,756.933,963,923.4329,001,094.43
  存货183,391,414.63152,185,633.35147,595,000.99146,833,494.28
  其他流动资产3,329,722.743,773,101.563,175,746.483,174,835.3
  流动资产合计1,388,899,631.361,288,034,970.121,385,870,634.861,464,859,789.85
非流动资产:
  长期股权投资97,161,614.2197,161,614.297,161,614.297,161,614.2
  其他权益工具投资80,183,492.4875,915,662.8487,064,371.5292,160,556.28
  投资性房地产12,606,763.6613,141,956.4813,677,149.3114,212,342.11
  固定资产435,770,627.21449,475,521.61454,509,138.72464,474,596.34
  在建工程2,166,109.84---
  使用权资产7,491,804.617,773,076.47,930,438.338,335,619.98
  无形资产75,460,776.5876,283,570.6177,344,681.8578,702,338.74
  长期待摊费用3,364,237.783,572,936.472,880,787.732,970,965.41
  递延所得税资产28,661,848.3729,543,522.8227,587,353.4726,822,925.75
  其他非流动资产11,218,332.9811,218,332.9811,218,332.9811,218,332.98
  非流动资产合计754,085,607.72764,086,194.41779,373,868.11796,059,291.79
  资产总计2,142,985,239.082,052,121,164.532,165,244,502.972,260,919,081.64
流动负债:
  短期借款1,050,0001,050,000550,000550,000
  应付票据及应付账款438,667,396.83419,272,177.73385,086,257.02457,530,143.81
  其中:应付票据202,446,008.11185,892,608.59206,983,831.33223,273,283.65
        应付账款236,221,388.72233,379,569.14178,102,425.69234,256,860.16
  预收款项-901,291.131,349,914.981,349,914.98
  合同负债91,352,317.6373,887,529.7782,696,971.2290,498,969.85
  应付职工薪酬17,628,099.1815,223,389.411,164,549.8624,565,463.14
  应交税费31,655,885.5633,629,604.5228,846,785.3354,794,210.53
  其他应付款合计85,920,774.2185,892,095.8286,191,546.9584,666,466.08
  一年内到期的非流动负债12,853,869.9212,564,296.9312,149,549.6412,274,723.94
  其他流动负债7,975,801.69,602,678.8916,419,743.7811,714,003.64
  流动负债合计687,104,144.93652,023,064.19624,455,318.78737,943,895.97
非流动负债:
  租赁负债1,542,745.882,113,590.662,685,699.882,965,707.23
  递延收益38,509,308.4839,222,390.739,935,472.9240,648,555.14
  非流动负债合计40,052,054.3641,335,981.3642,621,172.843,614,262.37
  负债合计727,156,199.29693,359,045.55667,076,491.58781,558,158.34
所有者权益(或股东权益):
  实收资本(或股本)390,158,650390,268,000390,268,000401,337,000
  资本公积629,661,744.32648,713,403.68648,530,233.5745,879,541.36
  减:库存股93,344,149.75116,683,924.75116,683,924.75199,117,488.55
  其他综合收益27,042,640.8923,416,040.5936,721,800.741,056,307.47
  盈余公积177,166,082.62177,166,082.62177,166,082.62177,166,082.62
  未分配利润242,528,716.48191,056,537.26317,267,157.31266,528,891.58
  归属于母公司股东权益合计1,373,213,684.561,313,936,139.41,453,269,349.381,432,850,334.48
  少数股东权益42,615,355.2344,825,979.5844,898,662.0146,510,588.82
  股东权益合计1,415,829,039.791,358,762,118.981,498,168,011.391,479,360,923.3
  负债和股东权益合计2,142,985,239.082,052,121,164.532,165,244,502.972,260,919,081.64
公告日期2025-10-282025-08-262025-04-262025-04-26
审计意见(境内)标准无保留意见
TOP↑