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联创光电

(600363)

  

流通市值:301.13亿  总市值:301.13亿
流通股本:4.54亿   总股本:4.54亿

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2,038,081,195.992,249,411,406.122,065,998,092.511,694,036,365.87
  衍生金融资产402,9008,960.28,960.2-
  应收票据及应收账款1,155,099,019.971,076,263,592.421,079,831,145.871,495,942,845.22
  其中:应收票据132,022,916.58114,200,688.62151,043,855.31212,535,510.28
        应收账款1,023,076,103.39962,062,903.8928,787,290.561,283,407,334.94
  预付款项14,471,085.5339,917,322.913,482,147.3330,582,839.03
  其他应收款合计199,556,257.14202,170,392.75185,476,268.49187,455,523.18
        应收股利165,400,827165,400,827165,400,827142,000,710
  存货709,067,473.44687,003,027.19665,615,891.62690,555,017.96
  其他流动资产20,864,342.719,451,682.8629,465,404.178,918,503.5
  流动资产合计4,137,542,274.774,274,226,384.444,039,877,910.194,107,491,094.76
非流动资产:
  长期股权投资3,027,940,885.572,877,801,771.72,773,507,358.422,840,752,420.49
  其他权益工具投资803,988803,988803,988803,988
  其他非流动金融资产21,339,281.4221,339,281.4221,339,281.4223,800,074.3
  投资性房地产68,912,550.5131,757,025.1932,306,115.1232,855,205.1
  固定资产869,718,617.08766,182,245.56783,734,048.82832,434,800.68
  在建工程57,887,783.44206,875,422.75173,357,910.1897,220,349.39
  使用权资产12,382,527.799,736,313.716,097,804.4518,504,216.4
  无形资产82,455,560.6187,205,984.492,656,685.8103,994,872.12
  长期待摊费用34,928,337.8535,967,959.3835,148,566.8443,891,807.44
  递延所得税资产115,169,870.19116,576,280.97119,098,387.99119,633,685.32
  其他非流动资产18,167,854.213,618,833.8513,788,796.3312,225,431.89
  非流动资产合计4,309,707,256.664,167,865,106.924,061,838,943.374,126,116,851.13
  资产总计8,447,249,531.438,442,091,491.368,101,716,853.568,233,607,945.89
流动负债:
  短期借款859,300,079.7800,244,314695,189,069.56864,920,302
  衍生金融负债118,880.46230,410230,410-
  应付票据及应付账款1,330,073,355.851,535,934,606.371,405,391,016.31,403,052,433.58
  其中:应付票据374,489,906.65622,929,305.95441,406,371.48495,394,371.61
        应付账款955,583,449.2913,005,300.42963,984,644.82907,658,061.97
  合同负债34,383,298.6725,187,944.0876,657,919.696,136,100.85
  应付职工薪酬92,544,038.0466,989,410.9794,612,847.3285,361,511.13
  应交税费23,580,562.1715,756,164.7923,507,334.9120,775,726.02
  其他应付款合计67,355,610.8178,908,091.7756,327,999.1484,822,028.71
        应付股利2,189,0502,189,0502,189,0502,189,050
  一年内到期的非流动负债348,849,674.88337,354,924.04351,506,819.57365,551,126.89
  其他流动负债5,902,121.77,301,680.838,544,374.5113,308,031.38
  流动负债合计2,762,107,622.282,867,907,546.852,711,967,790.912,933,927,260.56
非流动负债:
  长期借款535,163,786.71551,104,180.53484,080,163.53320,718,160.5
  租赁负债7,187,935.096,977,090.838,965,615.7714,111,904.04
  长期应付款35,230,081.3241,687,858.6351,475,023.8831,853,642.39
  预计负债11,916,059.715,150,304.9315,150,304.93-
  递延收益17,015,709.4119,945,455.7321,382,146.1715,598,960.9
  递延所得税负债13,281,898.616,436,844.5716,969,406.3625,011,839.77
  其他非流动负债---3,641,768.77
  非流动负债合计619,795,470.83651,301,735.22598,022,660.64410,936,276.37
  负债合计3,381,903,093.113,519,209,282.073,309,990,451.553,344,863,536.93
所有者权益(或股东权益):
  实收资本(或股本)453,514,450453,514,450455,225,750455,225,750
  资本公积945,955,515.09944,534,553.83993,744,798.191,001,759,359.01
  减:库存股6,094,7493,053,63250,835,935.0750,835,935.07
  其他综合收益9,486,767.944,398,255.664,956,8624,185,025.07
  专项储备---1,789,786.68
  盈余公积237,582,942.9237,582,942.9237,582,942.9237,582,942.9
  未分配利润2,750,400,111.432,627,732,742.532,511,620,238.562,610,807,464.7
  归属于母公司股东权益合计4,390,845,038.364,264,709,312.924,152,294,656.584,260,514,393.29
  少数股东权益674,501,399.96658,172,896.37639,431,745.43628,230,015.67
  股东权益合计5,065,346,438.324,922,882,209.294,791,726,402.014,888,744,408.96
  负债和股东权益合计8,447,249,531.438,442,091,491.368,101,716,853.568,233,607,945.89
公告日期2025-08-272025-04-292025-04-292024-10-31
审计意见(境内)标准无保留意见
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