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)142,206.4670,390.63169,472.062,000,527.02
应收票据(元)3,659,759.764,419,960.123,468,499.712,779,117.08
应收账款(元)8,981,769.018,735,092.6210,211,719.2411,400,442.98
预付款项(元)1,529,252.431,276,200.21,212,214.391,059,472.47
其他应收款(元)0000
存货(元)23,043,152.3822,818,750.7123,379,193.0922,889,764.67
其他流动资产(元)00691.52691.52
流动资产合计(元)39,499,886.1239,832,040.3840,674,647.2140,601,945.1
非流动资产:
固定资产(元)49,617,050.3751,271,54953,013,60854,833,207.99
无形资产(元)8,514,852.768,625,303.348,735,753.928,846,204.5
长期待摊费用(元)220,146.72258,005.28294,847.18338,558.47
递延所得税资产(元)32,591.8801,689,857.271,651,557.55
非流动资产合计(元)58,384,641.7360,154,857.6263,734,066.3765,669,528.51
资产总计(元)97,884,527.8599,986,898104,408,713.58106,271,473.61
流动负债:
短期借款(元)6,490,438.596,759,422.845,000,0005,767,539.2
应付账款(元)7,924,931.377,163,458.896,744,205.016,406,978.17
应付职工薪酬(元)10,328,939.659,208,413.157,380,787.326,574,843.25
应交税费(元)1,644,398.391,552,034.911,411,923.741,589,913.96
应付利息(元)0382,768.9700
应付股利(元)0833,598.08833,598.08833,598.08
其他应付款(元)20,316,166.8714,259,355.2813,331,336.9710,713,460.3
一年内到期的非流动负债(元)212,600.531,842,881.132,068,579.8133,294,588.43
其他流动负债(元)1,634,000.052,070,291.173,166,038.32,193,145.08
流动负债合计(元)48,850,792.3173,043,771.0769,273,541.3866,718,156.37
非流动负债:
长期借款(元)27,150,000000
递延收益(元)1,369,361.211,727,353.072,085,344.942,443,336.81
其他非流动负债(元)0012,389.526,043.27
非流动负债合计(元)28,519,361.211,727,353.072,097,734.462,449,380.08
负债合计(元)77,370,153.5274,771,124.1471,371,275.8469,167,536.45
所有者权益(或股东权益):
实收资本(或股本)(元)61,900,00061,900,00061,900,00061,900,000
资本公积(元)236,486.45236,486.45236,486.45236,486.45
盈余公积(元)2,640,045.282,640,045.282,640,045.282,640,045.28
未分配利润(元)-43,904,195.45-39,246,635.13-31,511,174.92-27,487,043.2
归属于母公司股东权益合计(元)20,872,336.2825,529,896.633,265,356.8137,289,488.53
少数股东权益(元)-357,961.95-314,122.74-227,919.07-185,551.37
股东权益合计(元)20,514,374.3325,215,773.8633,037,437.7437,103,937.16
负债和股东权益合计(元)97,884,527.8599,986,898104,408,713.58106,271,473.61
公告日期2024-08-262024-04-302023-08-252023-04-27