资产负债表

2024年年报2024年中报2023年年报2023年中报
公司类型通用通用通用通用
流动资产:
货币资金(元)3,148,036.41,714,349.8312,529,857.895,652,205.43
应收票据(元)32,542,621.8211,042,439.4413,142,509.960
应收账款(元)16,100,738.7714,663,433.3512,788,421.412,617,346.8
预付款项(元)798,471.542,213,575.291,466,690.856,339,150.1
其他应收款(元)0000
存货(元)18,696,065.7114,823,469.1511,744,593.4212,206,336.48
其他流动资产(元)204,045.2801,009,219.922,185.51
流动资产合计(元)77,404,110.5449,476,062.8655,579,215.5253,466,236.31
非流动资产:
固定资产(元)56,315,614.818,546,482.2718,863,385.2319,164,610.96
在建工程(元)15,319,525.1553,231,175.8249,439,038.1926,718,314.15
无形资产(元)8,123,527.298,218,381.958,313,236.618,408,091.27
长期待摊费用(元)684,018.2619,331.08739,617.51745,802.21
递延所得税资产(元)267,015.4785,360.98785,360.98320,037.69
其他非流动资产(元)2,979,392.53,502,805.52,755,121.259,589,100
非流动资产合计(元)83,689,093.3484,903,537.680,895,759.7764,945,956.28
资产总计(元)161,093,203.88134,379,600.46136,474,975.29118,412,192.59
流动负债:
短期借款(元)22,370,00018,981,23818,670,00016,000,000
应付账款(元)2,479,486.122,971,625.56907,099.2938,882.97
应付职工薪酬(元)1,941,302.131,345,253.312,420,616.121,406,644.85
应交税费(元)1,587,198.56425,774.351,431,353.92679,618.66
应付利息(元)00052,339.45
其他应付款(元)00052,339.45
其他流动负债(元)18,226,727.0226,523.136,241,429.4147,179.75
流动负债合计(元)47,035,908.5223,954,438.429,989,186.4219,487,586.81
非流动负债:
递延收益(元)1,381,133.361,418,635.881,456,138.41,493,640.92
递延所得税负债(元)876,513.331,133,360.891,133,360.891,079,767.97
非流动负债合计(元)2,257,646.692,551,996.772,589,499.292,573,408.89
负债合计(元)49,293,555.2126,506,435.1732,578,685.7122,060,995.7
所有者权益(或股东权益):
实收资本(或股本)(元)35,867,76435,867,76421,223,52921,223,529
资本公积(元)8,383,855.468,383,855.4623,028,090.4625,027,715.46
盈余公积(元)7,132,958.876,196,814.176,196,814.174,840,785.9
未分配利润(元)45,182,753.8341,947,465.8738,375,682.9232,033,590.16
归属于母公司股东权益合计(元)96,567,332.1692,395,899.588,824,116.5583,125,620.52
少数股东权益(元)15,232,316.5115,477,265.7915,072,173.0313,225,576.37
股东权益合计(元)111,799,648.67107,873,165.29103,896,289.5896,351,196.89
负债和股东权益合计(元)161,093,203.88134,379,600.46136,474,975.29118,412,192.59
公告日期2025-03-102024-08-202024-03-202023-08-21