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聚光科技

(300203)

  

流通市值:70.75亿  总市值:70.81亿
流通股本:4.48亿   总股本:4.49亿

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932,985,835.771,011,690,586.491,318,032,193.581,410,948,355.2
  应收票据及应收账款949,513,582.92938,852,076.37916,111,207.86978,668,095.13
  其中:应收票据112,507,667.5282,317,661.2577,838,774.7106,655,282.43
        应收账款837,005,915.4856,534,415.12838,272,433.16872,012,812.7
  预付款项102,216,640.8799,641,836.5793,231,717.3182,608,476.34
  其他应收款合计58,898,545.0866,550,137.7669,955,556.4277,229,385.96
        应收股利197,759.883,101,030.97458,630.97458,630.97
  存货1,241,158,892.421,275,773,375.371,339,945,614.411,295,674,789.3
  合同资产133,352,313.72133,414,319.11136,487,453.53128,003,455.19
  其他流动资产133,506,728.08130,478,901.85131,556,066.57121,884,863.44
  流动资产合计3,551,632,538.863,656,401,233.524,005,319,809.684,095,017,420.56
非流动资产:
  长期应收款1,389,523,981.081,373,949,300.241,371,402,355.751,390,467,169.31
  长期股权投资957,751,998.71951,090,255.98950,783,237.11958,404,179.52
  其他非流动金融资产64,537,889.265,079,751.0764,686,660.3664,594,320.56
  投资性房地产621,118,884.69628,083,834.66635,048,784.81642,013,734.79
  固定资产714,825,397.19732,409,536.83742,492,643.58769,878,749.78
  在建工程5,651,127.546,183,330.844,803,585.817,865,900.15
  使用权资产8,792,895.5910,571,838.016,469,297.268,004,885.38
  无形资产38,913,409.5340,067,519.7441,174,542.6941,318,918.71
  商誉200,768,326.07200,768,326.07200,768,326.07200,768,326.07
  长期待摊费用3,649,892.284,223,248.893,807,919.384,732,296.26
  递延所得税资产206,857,110.65211,498,340.19210,735,955.36213,614,710.26
  其他非流动资产1,017,411,225.351,015,591,795.381,015,784,146.591,013,888,123.92
  非流动资产合计5,229,802,137.885,239,517,077.95,247,957,454.775,315,551,314.71
  资产总计8,781,434,676.748,895,918,311.429,253,277,264.459,410,568,735.27
流动负债:
  短期借款456,754,817.44622,372,336.1809,596,089.1789,779,757.06
  应付票据及应付账款923,897,454.8890,268,009.62892,976,143.81,027,681,279.21
  其中:应付票据19,890,022.9824,870,402.6413,314,953.0815,287,048.76
        应付账款904,007,431.82865,397,606.98879,661,190.721,012,394,230.45
  预收款项22,271,264.8323,259,617.9320,399,925.9923,549,927.05
  合同负债857,874,744.17895,658,590.47865,734,647.37814,245,766.55
  应付职工薪酬83,775,506.0584,986,267.83202,450,537.84207,403,494.89
  应交税费20,616,697.1726,478,928.4812,583,283.9545,427,854.3
  其他应付款合计103,597,281.1993,943,342.18100,139,302.93122,075,753.42
        应付股利9,738,293.75---
  一年内到期的非流动负债305,462,067.26377,830,567.14368,745,565.13431,234,905.45
  其他流动负债52,108,030.9453,863,327.9951,429,430.3553,001,600.47
  流动负债合计2,826,357,863.853,068,660,987.743,324,054,926.463,514,400,338.4
非流动负债:
  长期借款2,461,273,556.472,203,716,611.612,156,534,033.32,087,531,658.76
  租赁负债4,107,285.724,234,385.721,327,042.072,085,436.58
  长期应付款231,866,666.54228,166,666.55224,466,666.56220,766,666.57
  预计负债6,531,612.336,531,612.33--
  递延收益118,960,738.48126,948,644133,481,379.15140,305,411.33
  其他非流动负债49,339,30049,339,30049,339,30049,339,300
  非流动负债合计2,872,079,159.542,618,937,220.212,565,148,421.082,500,028,473.24
  负债合计5,698,437,023.395,687,598,207.955,889,203,347.546,014,428,811.64
所有者权益(或股东权益):
  实收资本(或股本)448,737,600448,737,600448,737,600448,737,600
  资本公积841,830,787.69841,843,008.44839,669,164.39839,564,482.4
  减:库存股98,219,357.09---
  其他综合收益1,375,463.42748,494.57-492,464.12-1,008,621.6
  盈余公积253,981,469.5253,981,469.5253,981,469.5253,981,469.5
  未分配利润1,399,947,757.931,411,781,689.351,553,938,827.781,574,467,239.51
  归属于母公司股东权益合计2,847,653,721.452,957,092,261.863,095,834,597.553,115,742,169.81
  少数股东权益235,343,931.9251,227,841.61268,239,319.36280,397,753.82
  股东权益合计3,082,997,653.353,208,320,103.473,364,073,916.913,396,139,923.63
  负债和股东权益合计8,781,434,676.748,895,918,311.429,253,277,264.459,410,568,735.27
公告日期2025-10-302025-08-262025-04-292025-04-22
审计意见(境内)标准无保留意见
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