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帝尔激光

(300776)

  

流通市值:98.71亿  总市值:160.95亿
流通股本:1.68亿   总股本:2.74亿

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353,554,375.88317,480,376.27291,865,037.19485,440,977.41
  交易性金融资产280,930,419.51220,263,75190,263,75190,263,751
  应收票据及应收账款1,333,339,584.991,141,911,356.931,209,270,046.061,160,378,199.54
  其中:应收票据188,077,284.09149,366,923.07295,283,512.09265,212,346.58
        应收账款1,145,262,300.9992,544,433.86913,986,533.97895,165,852.96
  应收款项融资315,903,343.72500,666,545.16561,245,654.09260,634,057.27
  预付款项15,249,285.0436,566,731.946,512,144.6810,036,103.22
  其他应收款合计4,294,903.864,624,604.393,979,652.015,500,426.19
        应收股利-551,510.64--
  存货1,608,398,626.041,752,630,715.51,758,276,432.381,722,996,131.99
  合同资产181,636,597.83184,900,442.68157,205,815.39148,168,368.26
  其他流动资产1,901,861,915.441,894,744,859.822,111,814,655.92,116,563,227.56
  流动资产合计5,995,169,052.316,053,789,383.696,190,433,188.75,999,981,242.44
非流动资产:
  长期股权投资23,562,971.0919,640,617.6819,899,419.796,031,351.85
  固定资产449,846,036.3313,718,914.75320,026,847.45333,003,462.81
  在建工程1,225,694.1143,560,484.57145,868,725.96138,795,301.92
  使用权资产5,393,414.934,714,166.245,150,858.545,807,645.89
  无形资产60,914,745.8461,516,603.5562,345,033.4563,269,784.94
  长期待摊费用24,466,457.3321,116,952.8622,250,428.1125,829,194.97
  递延所得税资产42,856,062.7334,926,098.5827,041,524.3328,719,748.24
  其他非流动资产40,564,537.0514,073,600.8720,879,423.9719,338,283.23
  非流动资产合计648,829,919.37613,267,439.1623,462,261.6620,794,773.85
  资产总计6,643,998,971.686,667,056,822.796,813,895,450.36,620,776,016.29
流动负债:
  短期借款-1,838,615.613,711,073.46-
  应付票据及应付账款263,765,965.04290,751,863.18323,664,622.94285,259,258.03
  其中:应付票据--42,858,380.4942,162,298.36
        应付账款263,765,965.04290,751,863.18280,806,242.45243,096,959.67
  合同负债1,413,413,544.081,579,503,736.061,745,415,439.641,761,351,370.46
  应付职工薪酬51,921,728.1440,310,706.3329,326,596.8762,820,355.82
  应交税费8,655,946.3134,324,767.2133,387,694.2813,426,828.06
  其他应付款合计12,986,015.2421,706,112.5517,966,291.8119,953,774.45
  其中:应付利息3,238,309.411,250,881.158,148,818.595,080,420.07
  一年内到期的非流动负债3,086,184.382,347,703.672,402,284.812,578,174.57
  其他流动负债135,942,841.47120,834,348.49148,546,044.77166,316,011.88
  流动负债合计1,889,772,224.662,091,617,853.12,304,420,048.582,311,705,773.27
非流动负债:
  应付债券797,373,330.93791,959,396.37785,339,262.47778,871,926.54
  租赁负债4,044,559.674,114,721.874,420,197.414,901,504.29
  预计负债46,776,482.7945,415,674.2842,328,159.5740,058,735.19
  递延收益13,588,326.3414,244,511.3517,090,639.5312,982,593.21
  递延所得税负债10,512,604.887,845,937.757,845,937.757,845,937.75
  非流动负债合计872,295,304.61863,580,241.62857,024,196.73844,660,696.98
  负债合计2,762,067,529.272,955,198,094.723,161,444,245.313,156,366,470.25
所有者权益(或股东权益):
  实收资本(或股本)273,562,250273,560,526273,559,743273,087,912
  其他权益工具145,527,711.89145,549,991.81145,560,166.89145,570,271.8
  资本公积814,106,891.83813,043,647.19812,191,906.94788,083,344.94
  减:库存股50,042,494.4450,042,494.4450,042,494.4450,042,494.44
  其他综合收益3,892,302.554,320,919.053,032,982.092,686,345
  盈余公积136,780,263136,780,263136,543,956136,543,956
  未分配利润2,558,104,517.582,388,645,875.462,331,604,944.512,168,480,210.74
  归属于母公司股东权益合计3,881,931,442.413,711,858,728.073,652,451,204.993,464,409,546.04
  股东权益合计3,881,931,442.413,711,858,728.073,652,451,204.993,464,409,546.04
  负债和股东权益合计6,643,998,971.686,667,056,822.796,813,895,450.36,620,776,016.29
公告日期2025-10-302025-08-122025-04-262025-04-26
审计意见(境内)标准无保留意见
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