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欧菲光

(002456)

  

流通市值:299.53亿  总市值:303.58亿
流通股本:33.17亿   总股本:33.62亿

资产负债表

报告期2025-12-312025-09-302025-06-302025-03-31
公司类型通用通用通用通用
流动资产:
  货币资金1,617,212,452.361,821,138,679.972,309,267,080.651,971,769,165.67
  交易性金融资产-228,792.06-3,154,658.02
  应收票据及应收账款8,213,844,221.727,808,245,967.066,621,458,541.96,136,597,043.36
  其中:应收票据99,996,777.0880,936,423.15157,367,306.6360,075,854.39
        应收账款8,113,847,444.647,727,309,543.916,464,091,235.276,076,521,188.97
  应收款项融资58,432,879.17218,970,579.22130,897,777.4659,144,771.23
  预付款项14,533,422.9618,849,162.2419,222,612.1117,092,755.55
  其他应收款合计948,926,988.23878,036,873.391,119,164,653.821,127,131,135.52
  存货3,119,770,149.093,508,775,729.533,031,307,150.693,079,479,185.41
  一年内到期的非流动资产31,173,352.4130,916,520.8183,029,855.92186,327,684.83
  其他流动资产234,943,745.07248,896,285.29468,803,883.3865,121,800.29
  流动资产合计14,238,837,211.0114,534,058,589.5713,783,151,555.8513,445,818,199.88
非流动资产:
  债权投资60,342,00060,158,000110,169,555.5410,097,638.88
  长期应收款24,896,225.1124,648,87024,414,587.4610,764,660.27
  长期股权投资285,151,689.7359,192,959.75378,269,383.03405,561,235.09
  其他权益工具投资459,296,092.67458,236,629.02458,235,605.82458,235,605.82
  固定资产3,975,375,301.623,863,345,757.243,887,014,514.023,955,882,786.9
  在建工程211,738,010.89267,646,815.24205,905,044.16206,805,950.93
  使用权资产335,544,805.94331,904,371.28448,657,271.07438,914,317.33
  无形资产1,239,764,237.111,229,765,175.841,225,397,972.111,197,445,600.65
  开发支出229,712,331.63215,575,011.72219,413,497.78233,791,250.58
  商誉122,270,674.27122,270,674.27122,270,674.27122,270,674.27
  长期待摊费用69,795,355.8675,666,726.7284,544,755.9394,061,513.22
  递延所得税资产303,949,178.47305,484,801.81302,916,856.05263,510,203.83
  其他非流动资产43,234,424.362,781,172.1439,642,677.230,971,266.65
  非流动资产合计7,361,070,327.577,376,676,965.037,506,852,394.447,428,312,704.42
  资产总计21,599,907,538.5821,910,735,554.621,290,003,950.2920,874,130,904.3
流动负债:
  短期借款4,478,081,293.962,963,686,418.663,229,391,113.573,441,174,905.56
  交易性金融负债8,758,950.18917,050.367,162,161.99-
  应付票据及应付账款8,293,256,630.568,816,609,666.537,465,652,272.066,996,843,135.07
  其中:应付票据1,208,159,529.651,069,667,997.97895,878,711.74762,965,964.38
        应付账款7,085,097,100.917,746,941,668.566,569,773,560.326,233,877,170.69
  预收款项276,194.83,778,370.133,783,993.73,964,212.78
  合同负债27,772,179.03105,680,720.09127,151,427.73133,570,118.77
  应付职工薪酬229,007,598.05224,899,712.65184,848,801.98201,131,054.42
  应交税费69,870,022.9355,545,792.5944,892,176.2241,641,979.54
  其他应付款合计121,709,472.93126,362,654200,940,467.56202,838,211.07
  一年内到期的非流动负债1,952,266,911.922,879,612,489.73,151,721,541.953,014,730,462.57
  其他流动负债104,969,804.8949,352,740.3884,380,608.8348,904,605.3
  流动负债合计15,285,969,059.2515,226,445,615.0914,499,924,565.5914,084,798,685.08
非流动负债:
  长期借款735,668,233.92806,833,234.09963,803,234.091,238,778,234.26
  租赁负债226,375,500.11261,923,046.73314,155,266.58331,300,943.07
  长期应付款257,268,343.59657,371,374.28711,803,417.11591,478,550.37
  预计负债---13,162,306.31
  递延收益76,751,193.8171,977,171.2374,482,420.7676,990,648.33
  递延所得税负债33,574,351.334,701,405.7634,779,590.735,016,658.35
  非流动负债合计1,329,637,622.731,832,806,232.092,099,023,929.242,286,727,340.69
  负债合计16,615,606,681.9817,059,251,847.1816,598,948,494.8316,371,526,025.77
所有者权益(或股东权益):
  实收资本(或股本)3,354,548,6003,359,056,3753,343,030,7223,312,151,790
  资本公积7,034,056,059.617,097,062,601.17,073,337,536.396,881,687,801.61
  减:库存股88,324,401114,999,659162,221,635162,221,635
  其他综合收益23,741,55230,051,990.0632,563,037.4732,801,867.57
  盈余公积351,004,362.73351,004,362.73351,004,362.73351,004,362.73
  未分配利润-6,669,105,158.72-6,778,788,011.54-6,819,611,523.96-6,769,689,133.26
  归属于母公司股东权益合计4,005,921,014.623,943,387,658.353,818,102,499.633,645,735,053.65
  少数股东权益978,379,841.98908,096,049.07872,952,955.83856,869,824.88
  股东权益合计4,984,300,856.64,851,483,707.424,691,055,455.464,502,604,878.53
  负债和股东权益合计21,599,907,538.5821,910,735,554.621,290,003,950.2920,874,130,904.3
公告日期2026-04-022025-10-302025-08-192025-04-25
审计意见(境内)标准无保留意见
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