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)17,449,952.9930,914,857.8128,707,251.3363,912,269.89
应收票据(元)15,484,169.7414,254,684.924,227,460.3914,229,343.38
应收账款(元)68,889,753.5966,880,943.8100,214,037.36119,020,404.21
预付款项(元)2,548,478.182,429,630.312,398,373.382,203,269.93
其他应收款(元)0000
存货(元)68,502,385.9760,171,382.3356,642,788.7349,696,520.89
其他流动资产(元)1,106,660.031,679,591.342,024,218.58225,155.77
流动资产合计(元)181,093,260.18183,486,648.41198,042,741.26251,950,450.79
非流动资产:
固定资产(元)6,321,653.487,291,847.838,389,601.469,456,996.5
在建工程(元)53,505,253.1946,407,349.3216,551,515.089,101,483.75
无形资产(元)15,429,324.4815,931,511.116,433,698.4416,936,668.79
递延所得税资产(元)3,781,1753,570,318.222,863,770.411,684,282.38
其他非流动资产(元)1,382,582.914,427,554.7879,310.9971,202.49
非流动资产合计(元)80,419,989.0679,034,293.1247,832,176.0342,873,481.37
资产总计(元)261,513,249.24262,520,941.53245,874,917.29294,823,932.16
流动负债:
短期借款(元)14,700,00014,700,00000
应付票据(元)2,071,422.266,656,549.175,448,6946,719,955.1
应付账款(元)60,351,081.2454,677,221.0847,166,535.478,364,819.42
应付职工薪酬(元)096,771.03989,080.673,212,084.42
应交税费(元)19,851.1433,956.91909,193.668,792,604.85
应付股利(元)005,880,0000
其他应付款(元)1,180,406.29543,228.076,859,001.6411,123.54
一年内到期的非流动负债(元)398,590.861,804,302.735,636,112.574,379,559.9
其他流动负债(元)390,754.45134,964.59223,351.4895,264.23
流动负债合计(元)82,117,909.6679,685,182.7168,950,057.71102,708,213.27
非流动负债:
递延收益(元)1,070,0001,114,000308,000352,000
非流动负债合计(元)1,070,0001,114,000308,0002,181,530.51
负债合计(元)83,187,909.6680,799,182.7169,258,057.71104,889,743.78
所有者权益(或股东权益):
实收资本(或股本)(元)39,200,00039,200,00039,200,00039,200,000
资本公积(元)68,003,236.4268,003,236.4268,003,236.4268,003,236.42
专项储备(元)00080,794.25
盈余公积(元)12,084,894.5612,084,894.5612,074,615.7512,074,615.75
未分配利润(元)59,037,208.662,433,627.8457,339,007.4170,575,541.96
归属于母公司股东权益合计(元)178,325,339.58181,721,758.82176,616,859.58189,934,188.38
股东权益合计(元)178,325,339.58181,721,758.82176,616,859.58189,934,188.38
负债和股东权益合计(元)261,513,249.24262,520,941.53245,874,917.29294,823,932.16
公告日期2024-08-272024-04-252023-08-292023-04-28