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三安光电

(600703)

  

流通市值:754.34亿  总市值:754.34亿
流通股本:49.89亿   总股本:49.89亿

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8,723,566,719.738,446,642,078.188,442,792,221.998,899,018,970.55
  交易性金融资产161,502,335.02213,087,155.8545,704,246.86105,306,548.21
  应收票据及应收账款6,148,950,671.56,156,013,020.546,238,125,657.575,828,363,830.78
  其中:应收票据2,727,545,584.882,844,412,354.42,651,695,164.072,622,830,312.46
        应收账款3,421,405,086.623,311,600,666.143,586,430,493.53,205,533,518.32
  应收款项融资253,915,729.49311,871,190.08158,429,964.91213,140,700.16
  预付款项401,000,665.49438,024,181.77432,744,159.24525,320,956.39
  其他应收款合计176,419,350.53175,070,259.87201,889,607.36175,599,778.26
  存货5,984,029,261.875,595,117,841.315,569,866,878.655,281,404,438.92
  其他流动资产487,625,704.42503,065,358.49614,087,177.47475,257,117.27
  流动资产合计22,337,010,438.0521,838,891,086.0921,703,639,914.0521,503,412,340.54
非流动资产:
  长期股权投资1,545,205,423.191,533,227,233.021,474,240,922.361,555,655,155.9
  其他权益工具投资17,813,942.9217,944,214.8817,988,171.4917,526,170.57
  固定资产24,199,563,253.3623,479,111,264.3523,202,394,682.2623,078,492,907.9
  在建工程3,423,326,074.954,572,657,474.754,828,968,855.474,647,014,353.62
  使用权资产9,976,852.4611,416,817.6812,154,39111,176,924.36
  无形资产5,548,375,856.695,555,406,685.75,689,719,845.945,377,795,355.29
  开发支出492,301,684.19509,761,750.17420,270,733.78723,459,458.05
  商誉83,260,962.683,260,962.683,260,962.683,260,962.6
  长期待摊费用265,079,972.38254,294,230.48253,518,274.21287,327,641.1
  递延所得税资产246,660,374.87252,162,229.68256,848,509.04246,881,595.85
  其他非流动资产586,013,418.18655,665,465.711,109,878,116.331,543,969,877.14
  非流动资产合计36,417,577,815.7936,924,908,329.0237,349,243,464.4837,572,560,402.38
  资产总计58,754,588,253.8458,763,799,415.1159,052,883,378.5359,075,972,742.92
流动负债:
  短期借款6,262,093,146.785,463,217,317.474,884,193,846.385,113,640,050.04
  交易性金融负债--97,386,225.97-
  应付票据及应付账款4,752,601,032.84,782,283,450.565,024,721,755.594,817,117,699.89
  其中:应付票据2,100,091,329.132,204,102,735.532,440,514,338.882,339,205,496.93
        应付账款2,652,509,703.672,578,180,715.032,584,207,416.712,477,912,202.96
  预收款项291,566.07291,566.07320,776.41-
  合同负债113,433,844160,750,238.78152,259,795.23154,880,385.62
  应付职工薪酬228,939,852.61199,339,733.43323,573,756.68260,431,318.99
  应交税费89,806,699.52120,959,664.69129,335,735.1125,564,288.24
  其他应付款合计72,059,829.1269,854,141.0689,980,884.6686,291,281.82
  一年内到期的非流动负债2,073,703,176.711,371,130,811.991,876,456,439.121,795,783,279.66
  其他流动负债741,925,505.77752,741,085.4814,149,169.74737,510,398.3
  流动负债合计14,334,854,653.3812,920,568,009.4513,392,378,384.8813,091,218,702.56
非流动负债:
  长期借款3,847,142,641.923,482,986,591.23,359,462,410.423,504,929,623.69
  租赁负债6,692,775.137,892,195.678,606,010.648,753,820.64
  长期应付款876,166,666.57917,583,333.25983,999,999.931,145,416,666.61
  预计负债56,827,051.4653,509,797.8953,692,855.0855,913,547.05
  递延收益4,107,807,891.694,245,291,725.684,355,054,340.254,442,177,580.07
  递延所得税负债7,257,224.8527,550,333.767,588,654.698,761,731
  非流动负债合计8,901,894,251.628,734,813,977.458,768,404,271.019,165,952,969.06
  负债合计23,236,748,90521,655,381,986.922,160,782,655.8922,257,171,671.62
所有者权益(或股东权益):
  实收资本(或股本)4,989,018,7274,989,018,7274,989,018,7274,989,018,727
  资本公积21,153,449,792.9521,152,489,619.3121,151,349,883.5621,150,452,408.59
  减:库存股3,499,037,221.462,000,038,917.312,000,038,917.312,000,038,917.31
  其他综合收益92,082,290.0594,632,632.4497,773,397.8254,555,841.6
  专项储备1,186,636.871,048,318.98938,500.24961,635.88
  盈余公积1,123,108,582.131,123,108,582.131,123,108,582.131,041,419,324.17
  未分配利润11,588,791,531.1811,718,333,984.3611,506,420,570.911,582,432,051.37
  归属于母公司股东权益合计35,448,600,338.7237,078,592,946.9136,868,570,744.3436,818,801,071.3
  少数股东权益69,239,010.1229,824,481.323,529,978.3-
  股东权益合计35,517,839,348.8437,108,417,428.2136,892,100,722.6436,818,801,071.3
  负债和股东权益合计58,754,588,253.8458,763,799,415.1159,052,883,378.5359,075,972,742.92
公告日期2025-08-282025-04-262025-04-262024-10-30
审计意见(境内)标准无保留意见
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