三安光电

- 600703

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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:  2024  2023  2022  2021  2020  2019  2018  2017  2016  2015  2014 
三安光电(600703) 资产负债表
单位:万元
报表日期2021-12-312021-09-302021-06-302021-03-31
流动资产
货币资金328,762.69483,316.17653,013.24635,527.78
交易性金融资产61,281.371,487.991,482.39--
衍生金融资产--------
应收票据及应收账款455,661.19459,027.88454,575.37434,049.53
应收票据207,352.53182,316.66161,164.59165,191.68
应收账款248,308.66276,711.22293,410.77268,857.86
应收款项融资21,224.6629,089.4140,552.8238,979.53
预付款项56,796.2152,243.9347,584.1038,415.70
其他应收款(合计)13,789.0011,165.159,307.952,637.11
应收利息--------
应收股利--------
其他应收款13,789.00--9,307.95--
买入返售金融资产--------
存货461,804.42419,988.19410,328.95432,524.10
划分为持有待售的资产5,801.65------
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93,214.5479,129.3053,088.4744,013.14
流动资产合计1,498,335.741,535,448.011,669,933.291,626,146.89
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39,879.0823,878.9823,059.2821,689.74
投资性房地产--------
在建工程(合计)669,292.88573,211.58559,448.88464,914.97
在建工程669,292.88--559,448.88--
工程物资--------
固定资产及清理(合计)1,778,359.991,440,286.791,293,654.991,229,903.45
固定资产净额1,778,359.99--1,293,654.99--
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319.12247.5489.87136.33
无形资产445,459.09408,352.58406,230.49412,023.65
开发支出60,606.5095,604.8586,784.9169,251.47
商誉9,411.949,430.629,426.329,445.25
长期待摊费用18,219.8021,310.6720,443.9720,153.66
递延所得税资产26,260.6425,323.2226,612.1030,091.34
其他非流动资产204,738.16381,026.18292,532.22192,779.35
非流动资产合计3,253,819.772,983,096.552,719,575.282,451,702.77
资产总计4,752,155.514,518,544.564,389,508.574,077,849.66
流动负债
短期借款231,421.09215,587.89210,580.04175,859.18
交易性金融负债--------
应付票据及应付账款351,746.73286,749.83282,084.88242,162.18
应付票据79,172.9388,966.07100,698.4493,053.85
应付账款272,573.81197,783.77181,386.43149,108.33
预收款项64,819.06------
应付手续费及佣金--------
应付职工薪酬24,476.9511,681.2110,625.219,865.60
应交税费22,851.5323,602.4919,100.0115,047.24
其他应付款(合计)9,339.269,405.0674,869.607,747.36
应付利息--------
应付股利----67,190.12--
其他应付款9,339.26--7,679.48--
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70,519.2579,230.2865,934.4530,216.09
其他流动负债83,372.9188,699.1573,744.4165,984.48
流动负债合计866,147.58722,650.94749,310.99563,658.39
非流动负债
长期借款259,995.70229,715.40139,460.1090,571.30
应付债券--------
租赁负债--227.65--136.33
长期应付职工薪酬--------
长期应付款(合计)197,809.50189,431.40178,861.5993,800.00
长期应付款197,809.50--178,861.59--
专项应付款--------
预计非流动负债4,358.861,207.09674.98321.10
递延所得税负债126.511,783.911,831.161,849.65
长期递延收益378,275.01333,029.22322,941.13299,892.36
其他非流动负债--------
非流动负债合计840,565.59755,394.67643,768.95486,570.75
负债合计1,706,713.161,478,045.611,393,079.951,050,229.14
所有者权益
实收资本(或股本)447,934.13447,934.13447,934.13447,934.13
资本公积1,383,193.301,380,732.581,376,370.781,372,178.23
减:库存股--------
其他综合收益-1,860.87-1,428.26-934.47-50.41
专项储备--37.5882.9987.63
盈余公积87,935.1983,181.4783,181.4783,181.47
一般风险准备--------
未分配利润1,128,240.591,130,041.451,089,793.731,124,289.48
归属于母公司股东权益合计3,045,442.343,040,498.952,996,428.623,027,620.52
少数股东权益--------
所有者权益(或股东权益)合计3,045,442.343,040,498.952,996,428.623,027,620.52
负债和所有者权益(或股东权益)总计4,752,155.514,518,544.564,389,508.574,077,849.66
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