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道明光学

(002632)

  

流通市值:62.38亿  总市值:66.96亿
流通股本:5.82亿   总股本:6.25亿

资产负债表

报告期2025-09-302025-06-302025-03-312024-12-31
公司类型通用通用通用通用
流动资产:
  货币资金208,644,852.24388,716,551.46467,532,856.09257,183,105.08
  交易性金融资产863,912,000874,242,100779,636,400563,508,900
  应收票据及应收账款299,833,087.07324,386,241.46299,873,421.99326,744,843
  其中:应收票据285,0003,299,510.24,221,677.771,336,177.88
        应收账款299,548,087.07321,086,731.26295,651,744.22325,408,665.12
  应收款项融资60,872,291.9547,923,025.229,100,820.3748,757,984.15
  预付款项13,516,210.7610,976,894.7317,992,041.635,887,086.66
  其他应收款合计14,448,660.1215,786,946.4620,207,446.9715,895,903.63
  存货351,990,848.81380,334,058.7429,555,690.67426,715,679.86
  合同资产5,373,989.183,244,403.113,171,962.492,624,450.56
  其他流动资产32,878,794.6932,377,492.532,194,390.2130,604,357.56
  流动资产合计1,851,470,734.822,077,987,713.622,079,265,030.421,677,922,310.5
非流动资产:
  长期股权投资18,690,940.3318,123,469.9217,760,915.5318,436,195.47
  其他权益工具投资1,947,889.411,947,889.411,947,889.411,947,889.41
  其他非流动金融资产103,791,700103,127,200102,470,000101,820,000
  投资性房地产---9,543,663.22
  固定资产793,441,384.72822,149,867.28841,402,823.75866,086,372.07
  在建工程18,953,039.299,882,287.0418,478,232.1719,885,893.92
  使用权资产55,109.6284,792.2552,548.2480,854.74
  无形资产185,135,970.09186,280,351.8179,910,619.1181,031,066.42
  长期待摊费用553,667.14638,469.35725,084.96212,567.04
  递延所得税资产38,295,998.6537,942,434.8936,523,872.1234,396,889.82
  其他非流动资产1,727,853.79,962,544.712,703,457.872,597,036.29
  非流动资产合计1,162,593,552.951,190,139,306.651,201,975,443.151,236,038,428.4
  资产总计3,014,064,287.773,268,127,020.273,281,240,473.572,913,960,738.9
流动负债:
  短期借款477,702,680.55715,878,027.79735,836,163.93428,806,248.83
  应付票据及应付账款231,011,860.27248,352,723228,211,010.71203,927,615.54
  其中:应付票据88,533,934.1276,837,205.746,642,127.2245,479,511.63
        应付账款142,477,926.15171,515,517.3181,568,883.49158,448,103.91
  预收款项2,061,783.92,967,051.03174,669.941,332,554.24
  合同负债50,578,123.7644,863,293.2247,568,493.5644,802,148.78
  应付职工薪酬20,735,284.1118,661,744.9815,758,147.1723,475,512.78
  应交税费39,237,077.9330,621,706.2334,327,434.1938,770,834.6
  其他应付款合计23,077,182.7419,327,088.9517,616,946.5620,641,163.36
  其他流动负债3,733,488.966,914,713.931,542,444.681,368,780.44
  流动负债合计848,137,482.221,087,586,349.131,081,035,310.74763,124,858.57
非流动负债:
  递延收益23,912,876.0325,014,385.2524,845,894.4725,909,399.15
  递延所得税负债579,078.09318,892.83371,591.14388,101.73
  非流动负债合计24,491,954.1225,333,278.0825,217,485.6126,297,500.88
  负债合计872,629,436.341,112,919,627.211,106,252,796.35789,422,359.45
所有者权益(或股东权益):
  实收资本(或股本)624,599,090624,599,090624,599,090624,599,090
  资本公积799,700,162.37799,700,162.37799,581,248.05799,700,162.37
  其他综合收益-43,065,191.5-44,935,318.86-44,268,006.17-43,412,284.55
  盈余公积141,959,322141,959,322141,959,322141,959,322
  未分配利润620,508,588.79636,202,835654,814,313.84603,363,632.87
  归属于母公司股东权益合计2,143,701,971.662,157,526,090.512,176,685,967.722,126,209,922.69
  少数股东权益-2,267,120.23-2,318,697.45-1,698,290.5-1,671,543.24
  股东权益合计2,141,434,851.432,155,207,393.062,174,987,677.222,124,538,379.45
  负债和股东权益合计3,014,064,287.773,268,127,020.273,281,240,473.572,913,960,738.9
公告日期2025-10-242025-08-192025-04-222025-04-22
审计意见(境内)标准无保留意见
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