当前位置:首页 - 行情中心 - 光智科技(300489) - 财务分析 - 资产负债表

光智科技

(300489)

  

流通市值:54.43亿  总市值:54.63亿
流通股本:1.37亿   总股本:1.38亿

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119,328,094.1561,649,138.38164,931,579.1462,287,764.89
  应收票据及应收账款330,088,237.2321,149,718.95283,904,855.89177,075,703.99
  其中:应收票据36,092,117.0436,110,113.8829,814,974.3532,398,960.57
        应收账款293,996,120.16285,039,605.07254,089,881.54144,676,743.42
  应收款项融资933,873.718,381,244.073,017,929.6611,967,547.98
  预付款项46,836,794.6832,328,127.7277,511,795.2433,735,238.95
  其他应收款合计6,933,177.656,188,044.927,397,127.736,138,281.4
  存货1,304,724,310.841,244,665,914.931,170,514,602.561,232,352,293.68
  一年内到期的非流动资产2,176,899.531,719,200.651,719,200.65269,200.65
  其他流动资产49,567,444.1148,307,570.7443,743,098.5472,264,469.92
  流动资产合计1,860,588,831.871,724,388,960.361,752,740,189.411,596,090,501.46
非流动资产:
  长期应收款15,744,755.2216,301,265.516,217,384.4317,597,698.56
  固定资产1,772,261,949.551,785,808,656.351,720,970,696.371,734,861,837.3
  在建工程499,369,469.09473,243,791.6505,300,406.77511,963,447.3
  使用权资产3,049,240.73,020,845.873,729,006.644,460,295.64
  无形资产75,144,060.1574,300,753.2178,747,55564,690,357.74
  开发支出34,776,490.427,505,418.3210,937,947.316,838,251.1
  长期待摊费用264,560.7395,105.18528,032.58649,656.03
  递延所得税资产79,689,864.2780,581,536.288,598,672.3299,678,714.46
  其他非流动资产14,111,948.0712,380,025.3111,584,371.4122,413,444.94
  非流动资产合计2,494,412,338.152,473,537,397.542,436,614,072.822,473,153,703.07
  资产总计4,355,001,170.024,197,926,357.94,189,354,262.234,069,244,204.53
流动负债:
  短期借款502,087,102.46491,272,911.48346,683,638.9286,124,212.92
  应付票据及应付账款926,171,410.15851,477,768.76692,589,861.63724,324,681.42
  其中:应付票据164,083,827.49124,128,843.121,195,69321,821,121.8
        应付账款762,087,582.66727,348,925.66671,394,168.63702,503,559.62
  合同负债73,660,617.2271,515,242.3279,980,446.13117,664,020.05
  应付职工薪酬46,170,629.4144,023,472.8255,150,991.4652,428,367.5
  应交税费6,712,650.9912,621,369.1914,120,001.114,266,502.42
  其他应付款合计10,348,483.2516,591,428.99165,716,009.765,646,593.8
  一年内到期的非流动负债685,884,479.53661,968,726.81558,306,889.91496,985,069.86
  其他流动负债34,751,833.3532,414,687.7525,567,381.0426,257,514.84
  流动负债合计2,285,787,206.362,181,885,608.121,938,115,219.941,713,696,962.81
非流动负债:
  长期借款438,383,092.2344,513,299.07581,624,158.16646,737,866.37
  租赁负债1,000,289.51684,598.031,155,992.151,675,084.78
  长期应付款616,566,372.78632,188,680.14670,359,035.04727,348,601.65
  递延收益51,311,422.2260,450,907.6756,764,903.7456,986,761.87
  递延所得税负债14,669,819.5514,526,011.0814,693,212.5615,121,601.89
  非流动负债合计1,121,930,996.261,052,363,495.991,324,597,301.651,447,869,916.56
  负债合计3,407,718,202.623,234,249,104.113,262,712,521.593,161,566,879.37
所有者权益(或股东权益):
  实收资本(或股本)137,672,835137,672,835137,672,835137,672,835
  资本公积744,608,210.26731,550,438.38718,492,666.49718,492,666.49
  其他综合收益-303,868.59-336,130.19-326,885.25-359,912.11
  盈余公积19,047,234.4919,047,234.4919,047,234.4919,047,234.49
  未分配利润-267,534,065.23-234,541,237-248,974,448.95-258,540,050.32
  归属于母公司股东权益合计633,490,345.93653,393,140.68625,911,401.78616,312,773.55
  少数股东权益313,792,621.47310,284,113.11300,730,338.86291,364,551.61
  股东权益合计947,282,967.4963,677,253.79926,641,740.64907,677,325.16
  负债和股东权益合计4,355,001,170.024,197,926,357.94,189,354,262.234,069,244,204.53
公告日期2025-10-242025-07-302025-04-092025-03-15
审计意见(境内)标准无保留意见
TOP↑