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中润光学

(688307)

  

流通市值:19.33亿  总市值:29.26亿
流通股本:5814.93万   总股本:8800.00万

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404,892,052.7423,940,506.14432,011,527.32117,377,520.08
  交易性金融资产-35,576,986.3145,546,767.1251,239,003.59
  应收票据及应收账款97,773,794.287,511,584.4791,039,624.8186,439,938.92
  其中:应收票据3,777,462.274,894,442.525,880,276.935,854,159.29
        应收账款93,996,331.9382,617,141.9585,159,347.8880,585,779.63
  应收款项融资37,701,547.8644,154,338.224,824,655.248,833,004.29
  预付款项2,360,966.191,895,420.922,659,177.281,512,338.18
  其他应收款合计287,654.07532,237.12317,999.1564,870.95
  存货121,205,639.54114,853,800.0699,322,362.52105,784,016.94
  其他流动资产12,878,197.5210,267,976.685,460,392.495,427,507.75
  流动资产合计677,099,852.08718,732,849.9701,182,505.88377,178,200.7
非流动资产:
  长期股权投资16,849,931.4117,055,878.5617,265,060.8617,488,091.68
  固定资产192,806,817.42191,080,432.62192,864,288.83189,989,815.74
  在建工程134,497,033.37110,818,949.8980,642,907.4163,088,990.39
  使用权资产1,655,328.41,735,589.751,834,402.321,965,415.27
  无形资产28,193,470.1928,308,616.9828,602,515.5628,566,708.45
  商誉1,601,244.991,601,244.991,601,244.991,601,244.99
  长期待摊费用14,493,711.8312,471,622.1710,227,352.0410,807,750.36
  递延所得税资产8,962,592.778,850,044.689,457,055.469,250,847.69
  其他非流动资产52,682,170.389,486,678.88,255,544.08335,511,471.27
  非流动资产合计451,742,300.76381,409,058.44350,750,371.55658,270,335.84
  资产总计1,128,842,152.841,100,141,908.341,051,932,877.431,035,448,536.54
流动负债:
  短期借款9,900,000-897,261.02-
  应付票据及应付账款198,148,539.42167,686,534.92123,291,058.02128,153,434.3
  其中:应付票据117,729,637.76100,692,005.7466,865,206.7448,617,445.96
        应付账款80,418,901.6666,994,529.1856,425,851.2879,535,988.34
  合同负债8,710,872.377,760,821.416,690,260.1111,482,569.2
  应付职工薪酬16,103,666.1712,644,431.9718,721,947.4816,313,529.23
  应交税费3,118,595.713,702,488.536,007,740.422,001,643.54
  其他应付款合计1,259,100.42789,498.281,954,951.131,387,125.14
  一年内到期的非流动负债888,087.75863,458.93864,517.35571,044.15
  其他流动负债265,375.71365,419.77372,751.4371,955.52
  流动负债合计238,394,237.55193,812,653.81158,800,486.96159,981,301.08
非流动负债:
  长期借款3,789,229.573,802,347.073,738,539.084,077,906.08
  租赁负债1,172,671.821,153,289.961,156,425.161,495,139.76
  长期应付款350,780.5365,442.81335,967.13-
  预计负债279,552.58203,480.5152,588.4298,067.37
  递延收益23,324,521.2623,742,538.0823,750,139.5624,751,433.85
  递延所得税负债366,823.06383,921.17371,348.41119,257.47
  非流动负债合计29,283,578.7929,651,019.5929,505,007.7630,541,804.53
  负债合计267,677,816.34223,463,673.4188,305,494.72190,523,105.61
所有者权益(或股东权益):
  实收资本(或股本)88,000,00088,000,00088,000,00088,000,000
  资本公积664,142,043.87661,642,081.74659,143,521.83655,935,906.93
  其他综合收益254,198.72-1,634,001.16-1,609,624.52-1,368,924.46
  盈余公积18,955,329.6618,955,329.6618,955,329.6614,222,872.99
  未分配利润85,918,496.07106,450,038.2996,153,922.4985,107,698.65
  归属于母公司股东权益合计857,270,068.32873,413,448.53860,643,149.46841,897,554.11
  少数股东权益3,894,268.183,264,786.412,984,233.253,027,876.82
  股东权益合计861,164,336.5876,678,234.94863,627,382.71844,925,430.93
  负债和股东权益合计1,128,842,152.841,100,141,908.341,051,932,877.431,035,448,536.54
公告日期2025-08-302025-04-262025-03-292024-10-29
审计意见(境内)标准无保留意见
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