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沪光股份

(605333)

  

流通市值:110.49亿  总市值:110.49亿
流通股本:4.64亿   总股本:4.64亿

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1,134,493,973.411,144,094,021.621,702,128,879.49795,006,525.29
  交易性金融资产230,607,726.02290,466,356.16--
  应收票据及应收账款2,323,516,857.823,288,934,805.312,676,908,287.052,829,872,768.2
  其中:应收票据147,055,524.31210,002,505.6595,307,202.7318,801,886.72
        应收账款2,176,461,333.513,078,932,299.662,581,601,084.352,511,070,881.48
  应收款项融资484,182,427.26156,913,951.1468,837,093.56344,036,727.72
  预付款项11,466,487.289,292,891.4714,260,586.4313,720,282.58
  其他应收款合计3,390,011.577,918,386.364,049,767.564,767,528.21
  存货799,894,537.13781,658,821.39956,787,283.6721,963,764.65
  其他流动资产186,887,339.89293,803,741.68169,303,025.89153,941,739.1
  流动资产合计5,174,439,360.385,973,082,975.095,992,274,923.584,863,309,335.75
非流动资产:
  长期股权投资15,000,000---
  其他权益工具投资185,284,222.89216,696,604.33102,097,697.85102,097,697.85
  固定资产2,137,767,482.322,128,757,562.882,022,681,170.412,013,776,425.98
  在建工程395,825,416.25344,511,727.49353,770,133.64193,949,452.8
  使用权资产71,196,222.7177,395,892.5475,993,728.6675,985,325.64
  无形资产156,871,801.85152,415,278.21154,031,740.47156,518,846.09
  商誉753,759.78753,759.78753,759.78753,759.78
  长期待摊费用35,229,464.7832,056,987.3635,830,265.4834,280,145.85
  递延所得税资产68,044,560.5768,911,209.8871,556,923.3869,240,575.55
  其他非流动资产25,388,833.0717,849,731.4223,438,966.235,596,629.45
  非流动资产合计3,091,361,764.223,039,348,753.892,840,154,385.872,682,198,858.99
  资产总计8,265,801,124.69,012,431,728.988,832,429,309.457,545,508,194.74
流动负债:
  短期借款1,033,983,718.861,115,287,162.69867,926,236.66831,108,227.22
  应付票据及应付账款2,569,174,446.283,160,260,412.843,008,011,942.82,550,604,312.96
  其中:应付票据1,194,000,0001,209,000,0001,054,400,0001,030,460,000
        应付账款1,375,174,446.281,951,260,412.841,953,611,942.81,520,144,312.96
  合同负债6,900,514.654,027,281.012,816,116.381,297,528.66
  应付职工薪酬119,303,039.94161,359,701.76149,322,696.83140,314,058.19
  应交税费10,372,400.1328,865,189.0462,900,389.0750,998,702.47
  其他应付款合计10,823,517.095,236,445.845,305,897.33,783,649.35
  一年内到期的非流动负债599,469,746.36288,250,473.34376,749,326.47466,956,765.74
  其他流动负债77,597,151.23132,712,738.9151,171,767.02181,455,126.56
  流动负债合计4,427,624,534.544,895,999,405.434,524,204,372.534,226,518,371.15
非流动负债:
  长期借款195,815,556.77483,750,000690,404,065.56715,300,000
  租赁负债41,873,073.4961,519,252.4372,223,572.0969,547,647.48
  长期应付款30,000,000---
  预计负债7,045,098.156,099,058.545,905,779.475,084,661.5
  递延收益115,283,906.27117,677,554.49124,118,260.31128,766,789.15
  非流动负债合计390,017,634.68669,045,865.46892,651,677.43918,699,098.13
  负债合计4,817,642,169.225,565,045,270.895,416,856,049.965,145,217,469.28
所有者权益(或股东权益):
  实收资本(或股本)464,040,406464,040,406464,040,406436,776,081
  资本公积1,631,709,390.291,631,709,390.291,631,709,390.29788,485,990.98
  其他综合收益-20,862,401.18,625,600.933,215,999.1136,781,601.09
  盈余公积126,979,143.1126,979,143.181,528,644.9781,528,644.97
  未分配利润1,246,292,417.091,216,031,917.81,205,078,819.121,056,718,407.42
  归属于母公司股东权益合计3,448,158,955.383,447,386,458.093,415,573,259.492,400,290,725.46
  股东权益合计3,448,158,955.383,447,386,458.093,415,573,259.492,400,290,725.46
  负债和股东权益合计8,265,801,124.69,012,431,728.988,832,429,309.457,545,508,194.74
公告日期2026-04-242026-04-242025-10-282025-08-22
审计意见(境内)标准无保留意见
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