仕佳光子

- 688313

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昨收盘:- 今开盘:- 最高价:- 最低价:-
市值:-亿元 流通:- 成交:-手 换手:-
历年数据:  2026  2025  2024  2023  2022  2021  2020  2019  2018  2017 
仕佳光子(688313) 资产负债表
单位:万元
报表日期2026-03-312025-12-312025-09-302025-06-302025-03-31
流动资产
货币资金28,296.9735,724.2942,461.6331,760.0423,799.66
交易性金融资产----1,000.00----
衍生金融资产----------
应收票据及应收账款67,699.2557,887.2458,671.6657,362.4855,121.71
应收票据5,365.426,214.017,609.527,021.185,968.69
应收账款62,333.8251,673.2351,062.1450,341.3149,153.02
应收款项融资3,239.514,150.632,617.671,607.012,300.90
预付款项7,142.922,209.501,258.891,582.181,817.35
其他应收款(合计)670.38446.66544.67491.49434.86
应收利息----------
应收股利----------
其他应收款------491.49--
买入返售金融资产----------
存货63,130.1150,224.0559,304.3653,478.5241,101.57
划分为持有待售的资产----------
一年内到期的非流动资产----------
待摊费用----------
待处理流动资产损益----------
其他流动资产3,707.911,986.934,273.974,075.02865.04
流动资产合计173,887.05152,629.29170,132.85150,356.74125,441.10
非流动资产
发放贷款及垫款----------
可供出售金融资产----------
持有至到期投资----------
长期应收款----------
长期股权投资18,602.4417,084.4114,861.6114,775.1113,191.14
投资性房地产----------
在建工程(合计)489.5326.5962.78--891.29
在建工程----------
工程物资----------
固定资产及清理(合计)57,404.5258,102.0754,825.8352,363.9648,840.16
固定资产净额--58,102.07--52,363.96--
固定资产清理----------
生产性生物资产----------
公益性生物资产----------
油气资产----------
使用权资产2,341.042,620.161,955.48985.441,211.78
无形资产3,475.783,513.763,359.333,342.153,381.01
开发支出----------
商誉211.66211.66211.66211.66211.66
长期待摊费用1,769.792,076.971,761.471,930.531,007.13
递延所得税资产3,673.703,476.062,025.282,049.332,097.74
其他非流动资产7,159.562,641.555,146.235,063.725,875.09
非流动资产合计95,628.0390,253.2284,709.6881,221.9177,206.99
资产总计269,515.08242,882.51254,842.53231,578.64202,648.09
流动负债
短期借款29,756.0332,771.9840,373.4520,581.0210,850.70
交易性金融负债----------
应付票据及应付账款46,242.5228,767.6337,005.7544,018.5136,692.61
应付票据14,125.0011,666.7411,726.8816,209.7115,358.71
应付账款32,117.5217,100.9025,278.8727,808.8121,333.91
预收款项----------
应付手续费及佣金----------
应付职工薪酬5,916.927,297.796,584.635,876.604,523.26
应交税费3,179.00795.34577.78757.46450.26
其他应付款(合计)256.44419.21349.61567.74497.56
应付利息----------
应付股利----------
其他应付款------567.74--
预提费用----------
一年内的递延收益----------
应付短期债券----------
一年内到期的非流动负债2,029.593,124.476,882.797,483.467,543.63
其他流动负债4,100.973,850.234,958.894,859.864,105.24
流动负债合计92,941.5577,210.7896,887.9884,429.2364,967.02
非流动负债
长期借款500.001,100.001,000.00----
应付债券----------
租赁负债1,985.421,590.141,903.72378.04554.74
长期应付职工薪酬----------
长期应付款(合计)----------
长期应付款----------
专项应付款----------
预计非流动负债305.69313.02160.32158.19151.79
递延所得税负债672.52713.01276.17346.96394.67
长期递延收益7,262.457,065.427,002.767,160.037,353.11
其他非流动负债----------
非流动负债合计10,726.0810,781.5910,342.968,043.228,454.32
负债合计103,667.6387,992.37107,230.9592,472.4573,421.34
所有者权益
实收资本(或股本)45,198.6345,198.6345,880.2345,880.2345,880.23
资本公积60,290.8760,290.8766,723.5066,723.5066,723.50
减:库存股----7,114.237,114.237,114.23
其他综合收益-573.87303.24383.19316.04209.70
专项储备1,775.531,558.711,451.261,320.071,180.35
盈余公积4,836.144,836.142,357.562,357.562,357.56
一般风险准备----------
未分配利润54,320.1542,702.5637,930.0629,623.0319,989.64
归属于母公司股东权益合计165,847.45154,890.15147,611.58139,106.20129,226.75
少数股东权益----------
所有者权益(或股东权益)合计165,847.45154,890.15147,611.58139,106.20129,226.75
负债和所有者权益(或股东权益)总计269,515.08242,882.51254,842.53231,578.64202,648.09
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