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奥普光电

(002338)

  

流通市值:123.60亿  总市值:123.60亿
流通股本:2.40亿   总股本:2.40亿

资产负债表

报告期2025-06-302025-03-312024-12-312024-09-30
公司类型通用通用通用通用
流动资产:
  货币资金178,693,475.1141,117,949.6227,397,537.5121,069,378.56
  交易性金融资产38,807,831.0527,001,238.1110,000,682.865,541,631.69
  应收票据及应收账款643,260,834.99579,576,332.9497,955,782.88513,202,838.12
  其中:应收票据66,485,578.8876,745,394.3484,183,524.1626,357,562.04
        应收账款576,775,256.11502,830,938.56413,772,258.72486,845,276.08
  应收款项融资6,880,8751,344,87511,363,362.491,175,908.88
  预付款项105,054,041.17109,033,850.5679,299,279.3588,551,663.76
  其他应收款合计18,164,103.4913,866,927.547,989,923.6914,360,583.34
        应收股利4,728,550---
  存货363,041,524.44369,509,702.54361,473,213.84414,158,203.84
  其他流动资产743,690.9-757,287.88-
  流动资产合计1,354,646,376.141,241,450,876.251,196,237,070.491,158,060,208.19
非流动资产:
  长期股权投资371,231,164.75353,459,187.5344,824,972.74310,655,361.82
  投资性房地产3,085,143.143,085,143.143,085,143.143,238,834.89
  固定资产300,435,120.76301,721,939.46307,938,520.72309,556,083.27
  在建工程11,585,743.532,959,623.412,545,989.465,502,388.07
  使用权资产15,320,636.1516,084,083.9417,865,499.913,805,413.85
  无形资产53,265,227.6748,518,060.9449,630,394.8154,639,671.54
  商誉294,484,985.72294,779,054.19294,484,985.72294,484,985.72
  长期待摊费用2,367,775.037,289,552.432,502,273.223,590,058.79
  递延所得税资产38,159,248.6738,159,248.6738,159,248.6727,769,070.17
  其他非流动资产7,245,758.622,866,998.624,323,4984,603,030.11
  非流动资产合计1,097,180,804.041,068,922,892.31,065,360,526.391,017,844,898.23
  资产总计2,451,827,180.182,310,373,768.552,261,597,596.882,175,905,106.42
流动负债:
  短期借款201,505,076.31158,915,783.16106,685,746.75110,750,700
  应付票据及应付账款88,331,334.6665,203,193.4773,598,550.9758,107,124.13
  其中:应付票据6,288,469.51,215,309.51,314,925.5204,000
        应付账款82,042,865.1663,987,883.9772,283,625.4757,903,124.13
  合同负债95,349,778.5313,823,442.3514,792,601.7936,393,781.47
  应付职工薪酬8,511,032.536,085,442.484,187,115.679,480,557.23
  应交税费12,962,787.087,770,288.4717,298,695.310,410,960.17
  其他应付款合计25,869,371.824,014,269.9523,631,694.5322,744,396.77
  一年内到期的非流动负债44,342,367.54137,990,367.54138,182,367.547,072,585.05
  其他流动负债2,056,653.481,483,110.392,517,540.233,091,834.52
  流动负债合计478,928,401.93415,285,897.81380,894,312.78258,051,939.34
非流动负债:
  长期借款173,726,033.09121,528,637.05125,751,437.05133,751,448.9
  租赁负债11,020,619.0210,530,212.0511,020,619.023,845,490.03
  长期应付款---93,840,000
  长期应付职工薪酬25,199,836.3425,199,755.5125,199,836.3424,330,752.96
  预计负债---46,493,364.22
  递延收益59,394,745.8559,699,536.7860,300,136.788,816,654.86
  递延所得税负债7,347,566.727,347,566.727,347,566.72-
  非流动负债合计276,688,801.02224,305,708.11229,619,595.91311,077,710.97
  负债合计755,617,202.95639,591,605.92610,513,908.69569,129,650.31
所有者权益(或股东权益):
  实收资本(或股本)240,000,000240,000,000240,000,000240,000,000
  资本公积488,247,792.94480,740,525.64480,740,525.64468,333,870.94
  其他综合收益3,491,955.18-694,015.76-694,015.76-1,387,552.96
  盈余公积76,741,393.0576,741,393.0576,741,393.0575,487,730.05
  未分配利润545,830,027.1543,202,307.95529,388,476.26509,618,876.67
  归属于母公司股东权益合计1,354,311,168.271,339,990,210.881,326,176,379.191,292,052,924.7
  少数股东权益341,898,808.96330,791,951.75324,907,309314,722,531.41
  股东权益合计1,696,209,977.231,670,782,162.631,651,083,688.191,606,775,456.11
  负债和股东权益合计2,451,827,180.182,310,373,768.552,261,597,596.882,175,905,106.42
公告日期2025-08-262025-04-292025-04-222024-10-26
审计意见(境内)标准无保留意见
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