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光弘科技

(300735)

  

流通市值:190.11亿  总市值:192.63亿
流通股本:7.57亿   总股本:7.67亿

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2,041,112,242.61,972,304,323.532,737,677,894.612,388,589,554.49
  交易性金融资产67,475,230.1368,206,987.14119,507,066.29140,698,867.89
  衍生金融资产132,206.14---
  应收票据及应收账款1,998,367,632.821,782,640,706.211,053,149,3361,415,223,867.46
  其中:应收票据30,811,273.5536,420,130.3431,892,572.6949,536,290.45
        应收账款1,967,556,359.271,746,220,575.871,021,256,763.311,365,687,577.01
  应收款项融资15,814,369.887,287,733.173,259,304.86661,963.31
  预付款项43,691,923.0233,467,811.8119,025,363.516,669,020.17
  其他应收款合计106,177,790.4646,016,909.3228,517,997.8326,111,780.56
  存货898,034,466.95894,690,098.37328,578,969.35307,692,235.91
  其他流动资产199,580,825.28213,397,616.84310,537,224.55606,132,901.19
  流动资产合计5,370,386,687.285,018,012,186.394,600,253,156.994,901,780,190.98
非流动资产:
  投资性房地产70,088,099.0872,453,478.0575,394,252.976,724,274.87
  固定资产3,423,393,714.473,087,110,534.472,298,180,587.592,315,335,667.47
  在建工程453,242,298.64617,796,821.97463,368,656.71393,238,583.11
  使用权资产142,931,743.73151,043,295.9575,982,802.9381,203,054.24
  无形资产229,334,127.86232,528,178.49228,235,252.84229,593,522.45
  商誉120,107,154.83120,897,915.7814,434,688.0214,451,892.66
  长期待摊费用194,995,073.13158,705,511.08168,857,777.73172,183,922.35
  递延所得税资产62,097,574.6879,947,700.8528,394,290.9728,575,575.2
  其他非流动资产95,144,334.6883,618,137.2283,457,829.916,510,055.24
  非流动资产合计4,791,334,121.14,604,101,573.863,436,306,139.63,317,816,547.59
  资产总计10,161,720,808.389,622,113,760.258,036,559,296.598,219,596,738.57
流动负债:
  短期借款763,191,007.6765,466,813.01779,385,460.86712,774,607.37
  衍生金融负债884,790.336,547,886.31--
  应付票据及应付账款2,103,084,275.181,704,014,578.94879,364,029.941,186,011,276.62
        应付账款2,103,084,275.181,704,014,578.94879,364,029.941,186,011,276.62
  合同负债336,857,872.44478,484,968.7473,467,668.4381,622,973.72
  应付职工薪酬338,068,483.55293,714,403.54150,318,364.82211,995,316.06
  应交税费95,213,386.9344,597,185.354,522,178.3449,148,319.81
  其他应付款合计48,624,810.9339,656,457.4733,067,106.2426,071,453.85
  一年内到期的非流动负债155,034,181.4178,471,825.9317,333,699.1719,008,233.99
  其他流动负债4,283,170.83,198,087.253,144,399.110,179,772.64
  流动负债合计3,845,241,979.163,514,152,206.452,390,602,906.872,596,811,954.06
非流动负债:
  长期借款116,533,982.13129,491,310.46--
  租赁负债129,347,878.25128,481,999.3262,622,137.865,525,860.34
  长期应付款136,934,944.04148,995,699.86--
  长期应付职工薪酬58,318,437.1255,404,997.35--
  预计负债11,021,338.6510,961,431.17--
  递延收益63,590,231.9353,524,226.8134,999,637.6139,707,177.9
  递延所得税负债53,151,060.5976,234,595.7915,233,632.5918,053,956.96
  其他非流动负债92,869,150.3387,181,925.19--
  非流动负债合计661,767,023.04690,276,185.95112,855,408123,286,995.2
  负债合计4,507,009,002.24,204,428,392.42,503,458,314.872,720,098,949.26
所有者权益(或股东权益):
  实收资本(或股本)767,460,689767,460,689767,460,689767,460,689
  资本公积2,559,553,669.972,559,553,669.972,559,553,669.972,559,553,669.97
  其他综合收益-29,824,011.76-26,400,795.8-30,205,337.51-24,689,551.17
  盈余公积248,656,628.83248,656,628.83248,656,628.83248,656,628.83
  未分配利润1,393,792,055.31,294,185,375.271,422,147,752.361,386,707,458.26
  归属于母公司股东权益合计4,939,639,031.344,843,455,567.274,967,613,402.654,937,688,894.89
  少数股东权益715,072,774.84574,229,800.58565,487,579.07561,808,894.42
  股东权益合计5,654,711,806.185,417,685,367.855,533,100,981.725,499,497,789.31
  负债和股东权益合计10,161,720,808.389,622,113,760.258,036,559,296.598,219,596,738.57
公告日期2025-10-292025-08-272025-04-292025-04-29
审计意见(境内)标准无保留意见
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