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和辉光电-U

(688538)

  

流通市值:130.00亿  总市值:312.09亿
流通股本:57.52亿   总股本:138.09亿

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1,476,978,927.98938,813,272.971,018,832,939.571,243,059,742.24
  交易性金融资产540,237,594.53500,908,547.951,001,107,111.86802,273,645.48
  应收票据及应收账款686,550,662.64742,675,504.52688,419,519.06822,154,659.24
  其中:应收票据50,637,978.58219,993,011.08--
        应收账款635,912,684.06522,682,493.44688,419,519.06822,154,659.24
  预付款项18,941,091.5815,345,296.3116,159,347.3211,780,002.52
  其他应收款合计13,492,111.215,782,227.0716,150,142.414,178,672.4
  存货783,135,056.37838,409,585.441,148,616,240.351,124,560,373.75
  其他流动资产47,708,641.0854,129,316.7236,659,470.4911,231,865.99
  流动资产合计3,567,044,085.383,106,063,750.983,925,944,771.054,029,238,961.62
非流动资产:
  固定资产18,683,637,311.7918,979,686,451.9219,296,182,327.3719,680,785,080.12
  在建工程3,501,149,818.683,437,889,317.772,809,970,575.772,723,769,712.44
  无形资产974,405,404.74955,545,927.82948,175,893.76958,126,049.55
  开发支出145,232,694.84173,517,837.39191,965,861.94166,891,272.22
  其他非流动资产106,503,980.51144,965,660.28281,374,049.04232,383,084.1
  非流动资产合计23,410,929,210.5623,691,605,195.1823,527,668,707.8823,761,955,198.43
  资产总计26,977,973,295.9426,797,668,946.1627,453,613,478.9327,791,194,160.05
流动负债:
  应付票据及应付账款876,260,622.74925,491,288.431,110,224,761.171,245,284,945.2
        应付账款876,260,622.74925,491,288.431,110,224,761.171,245,284,945.2
  预收款项6,935,029.819,694,561.09--
  合同负债57,148,666.2396,380,693.69130,904,848.98106,385,703.26
  应付职工薪酬52,142,438.8495,448,008.7267,130,783.1267,694,352.85
  应交税费8,430,581.459,729,325.489,663,669.6913,307,979.53
  其他应付款合计50,197,775.7149,788,794.582,421,366.935,097,331.35
  一年内到期的非流动负债2,806,929,920.562,475,482,111.652,621,089,547.982,269,069,613.85
  其他流动负债8,488,459.288,847,132.6811,660,562.629,245,048.73
  流动负债合计3,866,533,494.623,670,861,916.323,953,095,540.493,716,084,974.77
非流动负债:
  长期借款15,015,220,559.7714,499,063,912.6814,201,027,311.4414,174,791,368.94
  长期应付款251,253,138.21315,936,930.65379,930,532.33443,317,944.08
  长期应付职工薪酬1,776,050.981,776,050.98--
  预计负债2,394,226.462,410,303.562,923,534.323,667,473.57
  递延收益248,389,958.88245,248,937.85252,107,916.83258,966,895.8
  非流动负债合计15,519,033,934.315,064,436,135.7214,835,989,294.9214,880,743,682.39
  负债合计19,385,567,428.9218,735,298,052.0418,789,084,835.4118,596,828,657.16
所有者权益(或股东权益):
  实收资本(或股本)13,809,437,62513,809,437,62513,809,437,62513,809,437,625
  资本公积5,769,973,060.125,769,973,060.125,769,973,060.125,769,973,060.12
  未分配利润-11,987,004,818.1-11,517,039,791-10,914,882,041.6-10,385,045,182.23
  归属于母公司股东权益合计7,592,405,867.028,062,370,894.128,664,528,643.529,194,365,502.89
  股东权益合计7,592,405,867.028,062,370,894.128,664,528,643.529,194,365,502.89
  负债和股东权益合计26,977,973,295.9426,797,668,946.1627,453,613,478.9327,791,194,160.05
公告日期2026-04-292026-04-292025-10-312025-08-16
审计意见(境内)标准无保留意见
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