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聚飞光电

(300303)

  

流通市值:85.26亿  总市值:90.88亿
流通股本:13.28亿   总股本:14.16亿

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876,666,104.22723,006,591.88658,309,810.57683,172,994.03
  交易性金融资产1,123,512,808.071,225,735,695.511,243,958,798.621,229,722,235.57
  应收票据及应收账款1,644,098,751.991,773,310,759.411,837,601,726.351,571,225,034.06
  其中:应收票据442,290,766.85588,337,068.98563,683,173.57544,107,554.78
        应收账款1,201,807,985.141,184,973,690.431,273,918,552.781,027,117,479.28
  预付款项5,997,129.963,485,325.842,048,597.454,497,415.74
  其他应收款合计8,431,040.576,701,088.676,752,714.64,464,063.04
  存货412,531,010.74428,486,921.38384,160,357.21347,981,740.35
  其他流动资产21,048,199.3124,815,470.5124,014,683.7816,685,345.6
  流动资产合计4,092,285,044.864,185,541,853.24,156,846,688.583,857,748,828.39
非流动资产:
  其他非流动金融资产199,476,907.1199,523,309.5198,669,364.58199,301,116.21
  投资性房地产27,950,511.2728,211,73128,472,950.7328,734,170.47
  固定资产1,406,376,960.131,338,677,487.161,300,604,068.581,068,107,858.19
  在建工程72,804,201.557,295,976.2433,159,013.85211,789,826.37
  无形资产114,430,384.14116,712,246.98119,664,851.29121,494,435.2
  商誉18,334,711.8918,334,711.8918,334,711.8918,334,711.89
  长期待摊费用52,706,053.8247,382,095.4149,325,873.0531,693,680.79
  递延所得税资产49,561,960.5250,674,261.5250,156,015.950,016,007.66
  其他非流动资产60,091,643.7866,409,739.0233,915,474.3620,606,087.85
  非流动资产合计2,001,733,334.151,923,221,558.721,832,302,324.231,750,077,894.63
  资产总计6,094,018,379.016,108,763,411.925,989,149,012.815,607,826,723.02
流动负债:
  短期借款100,000,00060,000,00060,000,00060,000,000
  应付票据及应付账款2,066,120,841.631,966,215,544.121,910,216,606.081,699,386,659.55
  其中:应付票据1,142,649,651.281,000,163,078.19885,623,854.91844,388,197.46
        应付账款923,471,190.35966,052,465.931,024,592,751.17854,998,462.09
  合同负债2,238,302.56993,358.64991,529.221,508,736.13
  应付职工薪酬58,483,972.5685,638,417.4975,103,963.3762,295,983.85
  应交税费10,472,174.1717,715,679.4222,424,796.4216,747,970.83
  其他应付款合计98,428,042.5984,934,162.34101,677,765.6967,950,449.51
  其他流动负债311,821.6386,011.621,186,549.69579,813.21
  流动负债合计2,336,055,155.112,215,883,173.632,171,601,210.471,908,469,613.08
非流动负债:
  应付债券---407,881,820.05
  递延收益57,511,875.8261,287,49963,433,202.0165,613,780.22
  递延所得税负债23,552,588.4521,271,023.0820,444,437.9419,106,950.94
  非流动负债合计81,064,464.2782,558,522.0883,877,639.95492,602,551.21
  负债合计2,417,119,619.382,298,441,695.712,255,478,850.422,401,072,164.29
所有者权益(或股东权益):
  实收资本(或股本)1,408,304,7271,408,304,7271,408,304,7271,329,965,141
  其他权益工具---48,095,743.6
  资本公积710,027,320.65705,868,447.5699,347,342.81313,632,865.97
  减:库存股6,776,175.47---
  其他综合收益2,694,327.612,864,048.752,909,996.342,552,696.76
  盈余公积215,638,068.83215,073,609.92214,357,585.1212,235,641.01
  未分配利润1,327,319,503.151,457,315,687.421,387,370,736.461,278,344,743.79
  归属于母公司股东权益合计3,657,207,771.773,789,426,520.593,712,290,387.713,184,826,832.13
  少数股东权益19,690,987.8620,895,195.6221,379,774.6821,927,726.6
  股东权益合计3,676,898,759.633,810,321,716.213,733,670,162.393,206,754,558.73
  负债和股东权益合计6,094,018,379.016,108,763,411.925,989,149,012.815,607,826,723.02
公告日期2025-08-232025-04-192025-04-192024-10-26
审计意见(境内)标准无保留意见
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