资产负债表

2024年中报2023年年报2023年中报2022年年报
公司类型通用通用通用通用
流动资产:
货币资金(元)26,716,256.1628,263,081.3822,828,532.7319,744,907.37
应收票据(元)000516,260
应收账款(元)22,173,084.2120,652,495.7725,262,021.3126,471,752.11
预付款项(元)11,688,653.48,218,346.184,438,020.74906,224.78
其他应收款(元)0000
存货(元)61,719,724.5862,096,839.3463,034,970.8463,436,390.28
其他流动资产(元)3,699,777.684,133,503.973,871,183.724,845,848.41
流动资产合计(元)129,042,517.69126,704,992.93122,393,068.64120,349,902.87
非流动资产:
长期股权投资(元)24,227.124,227.124,227.124,227.1
固定资产(元)68,502,443.9470,131,963.271,258,140.2269,219,559
在建工程(元)9,977,0141,382,699.99485,472.17201,721.93
无形资产(元)8,365,373.018,135,834.728,256,955.978,318,110.98
长期待摊费用(元)1,217,458.451,338,898.351,582,108.51,643,474.55
递延所得税资产(元)2,326,532.592,214,336.011,838,206.151,874,878.95
其他非流动资产(元)01,469,68000
非流动资产合计(元)92,857,867.7787,612,759.2383,445,110.1181,281,972.51
资产总计(元)221,900,385.46214,317,752.16205,838,178.75201,631,875.38
流动负债:
短期借款(元)55,000,00062,000,00049,000,00056,900,000
应付票据(元)0012,500,0000
应付账款(元)12,147,060.7210,912,131.5514,363,981.9718,037,065.28
应付职工薪酬(元)1,954,488.341,810,167.61,811,082.551,884,302.03
应交税费(元)2,352,685.332,696,258.631,101,743.251,442,854.55
其他应付款(元)3,101,286.112,403,900.521,315,077.222,635,141.34
一年内到期的非流动负债(元)3,978,112.321,254,610.300
其他流动负债(元)0240,219.250139,617.7
流动负债合计(元)82,371,180.0784,210,390.6185,521,821.5483,836,852.1
非流动负债:
长期借款(元)10,000,0003,000,00000
递延收益(元)023,466.6758,666.6793,866.67
递延所得税负债(元)399,756329,210.8200
非流动负债合计(元)11,751,336.055,049,367.0858,666.6793,866.67
负债合计(元)94,122,516.1289,259,757.6985,580,488.2183,930,718.77
所有者权益(或股东权益):
实收资本(或股本)(元)100,000,000100,000,000100,000,000100,000,000
资本公积(元)2,601,803.462,601,803.462,601,803.462,601,803.46
盈余公积(元)3,206,513.993,206,513.992,730,557.412,730,557.41
未分配利润(元)21,969,551.8919,249,677.0214,925,329.6712,368,795.74
归属于母公司股东权益合计(元)127,777,869.34125,057,994.47120,257,690.54117,701,156.61
股东权益合计(元)127,777,869.34125,057,994.47120,257,690.54117,701,156.61
负债和股东权益合计(元)221,900,385.46214,317,752.16205,838,178.75201,631,875.38
公告日期2024-08-232024-04-232023-08-212023-04-25