当前位置:首页 - 行情中心 - 联建光电(300269) - 财务分析 - 资产负债表

联建光电

(300269)

  

流通市值:27.13亿  总市值:28.33亿
流通股本:5.26亿   总股本:5.49亿

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169,580,166.34178,110,180.44192,517,740.89143,759,534.24
  交易性金融资产04,000,000060,000,000
  应收票据及应收账款64,589,043.5467,950,848.5286,490,957.5475,140,704.42
  其中:应收票据4,124,718.353,575,416.25,299,019.495,709,480.77
        应收账款60,464,325.1964,375,432.3281,191,938.0569,431,223.65
  应收款项融资0-0-
  预付款项3,474,530.943,379,615.86,253,830.145,358,310.46
  其他应收款合计4,741,002.625,643,427.774,529,728.547,204,833.25
  其中:应收利息0-0-
        应收股利0-0-
  存货151,458,233.63148,031,548.13154,317,425.48185,103,179.49
  合同资产0-0-
  一年内到期的非流动资产0-0-
  其他流动资产11,350,101.6110,412,465.7212,030,239.629,697,049.09
  流动资产合计405,193,078.68417,528,086.38456,139,922.21486,263,610.95
非流动资产:
  长期应收款---3,901,354.58
  其他权益工具投资616,989.69616,989.69616,989.691,176,049.03
  投资性房地产232,421,447.34234,636,131.25236,908,379.15240,212,212.86
  固定资产46,892,650.3450,439,020.2751,441,599.3253,018,098.93
  使用权资产21,131,245.2624,249,842.0627,827,713.0517,983,570.67
  无形资产703,261.6787,924.47876,214.36950,574.69
  长期待摊费用2,033,901.672,381,299.832,720,383.332,320,660.97
  递延所得税资产9,648,648.5110,478,230.0611,304,712.498,408,610.97
  其他非流动资产9,379,496.468,353,697.138,739,762.139,441,756.53
  非流动资产合计322,827,640.87331,943,134.76340,435,753.52337,412,889.23
  资产总计728,020,719.55749,471,221.14796,575,675.73823,676,500.18
流动负债:
  短期借款230,000,000230,000,000230,313,777.8288,000,000
  应付票据及应付账款251,017,016.02258,452,449.71294,950,050.45262,995,672.52
  其中:应付票据146,136,309.75187,856,280.05183,603,129.82148,892,702.85
        应付账款104,880,706.2770,596,169.66111,346,920.63114,102,969.67
  预收款项-92,920.78232,301.9992,920.8
  合同负债98,987,982.89104,836,95397,031,133.66128,481,305.18
  应付职工薪酬8,589,643.2512,119,088.8313,020,866.099,117,188.45
  应交税费1,716,9402,018,864.855,260,602.114,265,070.34
  其他应付款合计16,983,668.6316,945,040.620,189,759.1516,196,161.11
  一年内到期的非流动负债13,078,774.1810,385,381.0711,684,9307,717,347.48
  其他流动负债7,866,653.39,692,014.510,903,879.6813,038,150.82
  流动负债合计628,240,678.27644,542,713.34683,587,300.93729,903,816.7
非流动负债:
  租赁负债7,473,608.6713,343,278.114,857,426.338,173,915.9
  预计负债3,395,114.042,095,166.882,171,975.696,311,086.78
  递延所得税负债4,546,663.935,205,715.336,020,909.893,125,513.33
  非流动负债合计15,415,386.6420,644,160.3123,050,311.9117,610,516.01
  负债合计643,656,064.91665,186,873.65706,637,612.84747,514,332.71
所有者权益(或股东权益):
  实收资本(或股本)549,113,825549,113,825549,113,825549,113,825
  其他权益工具-2,138,153.84-2,138,153.84-2,138,153.84-2,138,153.84
  资本公积3,654,381,382.443,654,381,382.443,654,381,382.443,654,381,382.44
  减:库存股0-0-
  其他综合收益-62,900,586.69-60,679,311.74-59,498,269.98-60,043,754.5
  盈余公积107,919,232.24107,919,232.24107,919,232.24107,919,232.24
  未分配利润-4,162,011,044.51-4,164,312,626.61-4,159,839,952.97-4,173,070,363.87
  归属于母公司股东权益合计84,364,654.6484,284,347.4989,938,062.8976,162,167.47
  少数股东权益0---
  股东权益合计84,364,654.6484,284,347.4989,938,062.8976,162,167.47
  负债和股东权益合计728,020,719.55749,471,221.14796,575,675.73823,676,500.18
公告日期2025-08-222025-04-262025-04-162024-10-25
审计意见(境内)标准无保留意见
TOP↑