康定电子 (830928.OC)

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资产负债表(康定电子)

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完整财报对比
2024年中报2023年年报2023年中报2022年年报2022年中报
上市前/上市后 上市后上市后上市后上市后上市后
报表类型 合并报表合并报表合并报表合并报表合并报表
流动资产:
 货币资金(元) 7,189,617.268,566,653.4910,403,260.1711,052,185.937,197,893.99
  其中:交易性金融资产(元) 278,364.24452,793.78394,048.08527,807.52483,522.30
 应收票据及应收账款(元) 45,808,716.7139,770,505.1847,377,643.8851,919,611.1751,343,329.83
  其中:应收票据(元) 11,606,464.647,366,839.319,927,612.9814,990,319.558,653,752.20
  其中:应收账款(元) 34,202,252.0732,403,665.8737,450,030.9036,929,291.6242,689,577.63
 预付款项(元) 945,757.95320,071.58536,643.76405,838.831,067,260.14
 其他应收款(元) 2,834,235.122,037,922.102,896,544.842,269,422.402,423,600.62
 存货(元) 22,882,052.7517,927,447.4422,853,757.7324,784,015.2831,346,771.45
 合同资产(元) 102,635.10100,194.5085,940.7679,838.0072,365.35
 其他流动资产(元) ---6,102.76-
 流动资产合计(元) 80,125,232.4370,010,341.5086,541,514.2291,508,532.6493,934,743.68
非流动资产:
 固定资产(元) 42,093,844.9942,389,769.2243,672,648.9245,465,619.3347,036,027.35
 使用权资产(元) 940,553.501,042,906.52141,391.32184,978.74368,328.87
 无形资产(元) 4,804,443.574,917,863.975,128,419.785,202,175.955,358,699.81
 开发支出(元) --764,150.92573,113.19-
 长期待摊费用(元) 2,053,412.333,500,436.044,991,152.406,492,453.097,696,200.31
 其他非流动资产(元) 365,450.00500,789.50-114,049.50-
 非流动资产合计(元) 50,257,704.3952,351,765.2554,697,763.3458,032,389.8060,459,256.34
资产总计(元) 130,382,936.82122,362,106.75141,239,277.56149,540,922.44154,394,000.02
流动负债:
 短期借款(元) 40,038,775.0137,038,775.0146,810,000.0025,031,777.7827,753,307.24
 应付票据及应付账款(元) 20,687,392.8814,945,960.3420,396,529.4326,720,816.8027,421,936.72
  其中:应付账款(元) 20,687,392.8814,945,960.3420,396,529.4326,720,816.8027,421,936.72
 合同负债(元) 1,660,906.681,478,299.831,141,874.661,720,112.881,168,050.58
 应付职工薪酬(元) 2,511,991.473,211,637.522,752,231.082,492,957.022,231,990.85
 应交税费(元) 237,464.54750,609.942,521,369.683,864,831.703,466,039.14
 其他应付款(元) 1,729,212.721,762,713.331,982,528.892,322,859.964,134,781.91
 一年内到期的非流动负债(元) 225,043.43265,146.60193,701.421,714,391.752,085,615.58
 其他流动负债(元) 10,207,642.295,783,962.105,688,681.5413,469,859.057,650,444.93
 流动负债合计(元) 77,298,429.0265,237,104.6781,486,916.7077,337,606.9475,912,166.95
非流动负债:
 长期借款(元) ---12,333,332.3312,555,555.60
 租赁负债(元) 594,800.22596,805.14-77,272.74127,978.21
 递延收益(元) 244,029.63244,029.63350,000.00--
 非流动负债合计(元) 838,829.85840,834.77350,000.0012,410,605.0712,683,533.81
负债合计(元) 78,137,258.8766,077,939.4481,836,916.7089,748,212.0188,595,700.76
所有者权益(或股东权益):
 实收资本或股本(元) 41,250,000.0041,250,000.0041,250,000.0041,250,000.0041,250,000.00
 资本公积(元) 7,053,381.007,053,381.007,053,381.007,053,381.007,053,381.00
 盈余公积(元) 5,593,897.515,593,897.515,338,221.575,338,221.575,338,221.57
 未分配利润(元) -1,651,600.562,386,888.805,760,758.296,151,107.8612,156,696.69
 归属于母公司股东权益合计(元) 52,245,677.9556,284,167.3159,402,360.8659,792,710.4365,798,299.26
 股东权益合计(元) 52,245,677.9556,284,167.3159,402,360.8659,792,710.4365,798,299.26
负债和股东权益合计(元) 130,382,936.82122,362,106.75141,239,277.56149,540,922.44154,394,000.02
公告日期 2024-08-162024-04-252023-08-182023-04-212022-08-30
审计意见(境内) 标准无保留意见标准无保留意见
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