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科陆电子

(002121)

  

流通市值:58.52亿  总市值:69.42亿
流通股本:14.00亿   总股本:16.61亿

资产负债表

报告期2024-03-312023-12-312023-09-302023-06-30
公司类型通用通用通用通用
流动资产:
货币资金963,990,042.75902,362,862.941,737,984,273.561,746,591,863.66
应收票据及应收账款1,209,065,605.981,298,036,819.661,182,250,432.241,388,607,788.11
其中:应收票据25,616,704.9891,792,409.7419,207,858.6746,824,116.58
应收账款1,183,448,9011,206,244,409.921,163,042,573.571,341,783,671.53
预付款项80,774,464.2152,361,740.8749,761,926.351,140,675.55
其他应收款合计91,167,378.9599,129,056.48128,578,955.96161,836,072.98
存货693,015,699.02880,052,831.88965,288,471.021,344,985,517.68
其他流动资产134,307,751.22137,354,765.34203,125,036.7230,300,110.37
流动资产平衡项目0000
流动资产合计3,197,411,196.613,395,269,757.414,292,079,236.264,948,552,101.63
非流动资产:
长期应收款14,419,795.2514,419,795.2516,360,262.916,360,262.9
长期股权投资362,944,131.19383,104,713.33372,517,156.71405,337,800.39
其他非流动金融资产156,478,510.79156,478,510.79142,229,654.92142,229,654.92
投资性房地产133,808,758.71134,846,563.15135,884,367.6144,160,868.03
固定资产2,419,653,243.72,500,113,455.321,115,447,370.92986,433,584.05
在建工程71,552,769.3462,251,742.111,323,244,430.451,288,227,614.07
使用权资产222,862.1446,306.76574,634.7121,087,029.52
无形资产507,014,375.54510,278,442.49457,875,601.05455,178,889.89
商誉73,322,469.2673,322,469.2673,322,469.2673,322,469.26
长期待摊费用66,970,676.7470,534,025.2976,193,717.6183,170,338.55
递延所得税资产585,947,654.85578,025,566.18557,570,612.13568,844,033
其他非流动资产31,791,566.8230,572,248.254,957,753.64130,151,990.57
非流动资产平衡项目0000
非流动资产合计4,424,126,814.294,514,393,838.134,326,178,031.894,414,504,535.15
资产平衡项目0000
资产总计7,621,538,010.97,909,663,595.548,618,257,268.159,363,056,636.78
流动负债:
短期借款2,946,591,745.822,901,108,423.023,583,053,333.333,084,313,406.14
交易性金融负债769,135.9115,803--
应付票据及应付账款1,736,566,552.611,857,886,168.022,041,970,766.591,996,598,856.26
其中:应付票据648,888,288.24613,519,369.15611,395,282.51700,233,609.79
应付账款1,087,678,264.371,244,366,798.871,430,575,484.081,296,365,246.47
合同负债661,932,001.71721,676,297.57419,589,031.491,040,021,562.95
应付职工薪酬99,766,762.04148,523,133.977,601,737.6672,314,238.41
应交税费16,497,873.549,128,607.8922,490,470.0528,811,418.31
其他应付款合计336,909,825.77407,343,018.59283,651,735.12473,721,650.01
应付股利91,325.6191,325.6191,325.6191,325.61
一年内到期的非流动负债60,749,650.6370,231,289.3281,526,335.32606,197,338.54
其他流动负债19,415,643.817,056,668.6110,022,604.5811,238,401.21
流动负债平衡项目0000
流动负债合计5,879,199,191.796,172,969,409.926,519,906,014.147,313,216,871.83
非流动负债:
长期借款589,449,399.56589,516,728.73588,393,645.83598,293,743.06
租赁负债-451,417.28464,971.59460,060.61
预计负债117,186,552.08104,642,496.8910,167,67010,167,670
递延收益39,824,318.8857,441,627.6761,834,086.7167,513,389.6
递延所得税负债3,394,211.173,394,211.176,281,949.916,281,949.91
其他非流动负债756,000756,000756,000756,000
非流动负债平衡项目0000
非流动负债合计750,610,481.69756,202,481.74667,898,324.04683,472,813.18
负债平衡项目0000
负债合计6,629,809,673.486,929,171,891.667,187,804,338.187,996,689,685.01
所有者权益(或股东权益):
实收资本(或股本)1,660,816,6881,660,816,6881,660,816,6881,660,816,688
资本公积2,476,025,825.852,474,865,554.612,470,378,525.832,470,378,525.83
其他综合收益37,991,067.339,179,124.5610,382,912.7610,590,046.44
专项储备972,461.97964,079.13874,019.98845,826.54
盈余公积134,505,883.55134,505,883.55134,505,883.55134,505,883.55
未分配利润-3,332,675,429.81-3,339,720,290.76-2,888,791,068.1-2,948,064,756.52
归属于母公司股东权益平衡项目0000
归属于母公司股东权益合计977,636,496.89940,611,039.091,388,166,962.021,329,072,213.84
少数股东权益14,091,840.5339,880,664.7942,285,967.9537,294,737.93
股东权益平衡项目0000
股东权益合计991,728,337.42980,491,703.881,430,452,929.971,366,366,951.77
负债和股东权益合计7,621,538,010.97,909,663,595.548,618,257,268.159,363,056,636.78
公告日期2024-04-262024-03-222023-10-262023-08-23
审计意见(境内)标准无保留意见
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