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)9,020,403.972,576,483.841,298,392.823,547,979.01
应收票据(元)9,073,785.9912,677,398.5713,758,395.4114,306,187.9
应收账款(元)30,747,491.3643,743,498.8937,906,232.5235,458,371.83
预付款项(元)1,258,301.79477,500.343,849,272.521,357,070.82
其他应收款(元)0000
存货(元)27,947,464.5820,850,026.1828,041,109.7423,790,765.87
其他流动资产(元)00164,150.94164,150.94
流动资产合计(元)93,347,969.0393,937,437.2897,062,907.5788,280,908.44
非流动资产:
固定资产(元)18,998,144.6319,880,128.0220,364,114.2418,218,599.14
在建工程(元)00659,908.321,569,341.87
无形资产(元)1,877,527.311,903,857.81,930,188.31,956,518.79
长期待摊费用(元)723,830.39665,024.3594,736.88107,368.44
递延所得税资产(元)859,484.441,077,853.71860,380.15994,756.65
其他非流动资产(元)00048,250
非流动资产合计(元)22,797,519.8323,881,903.2224,280,790.2523,282,720.27
资产总计(元)116,145,488.86117,819,340.5121,343,697.82111,563,628.71
流动负债:
短期借款(元)23,600,00018,618,322.2314,800,00016,817,851.39
应付票据(元)1,683,944.51,832,078.751,752,177.45698,658.09
应付账款(元)11,793,723.5115,088,167.4920,652,605.2716,766,468.48
应付职工薪酬(元)1,342,073.721,849,6901,339,028.21,856,523.72
应交税费(元)1,101,637.691,022,993.511,029,433.442,923,415.38
应付股利(元)002,680,0000
其他应付款(元)449,753.4921,047.574,404,363.01271,714.75
一年内到期的非流动负债(元)50,000127,495.2600
其他流动负债(元)7,004,172.048,478,463.29,350,794.9811,384,347.5
流动负债合计(元)49,331,996.7448,815,518.0155,697,345.1651,536,791.58
非流动负债:
长期借款(元)2,900,0002,950,0003,000,0000
递延收益(元)70,000175,000280,000385,000
非流动负债合计(元)2,970,0003,125,0003,354,311.93459,311.93
负债合计(元)52,301,996.7451,940,518.0159,051,657.0951,996,103.51
所有者权益(或股东权益):
实收资本(或股本)(元)26,800,00026,800,00026,800,00026,800,000
资本公积(元)8,544,426.158,544,426.158,544,426.158,544,426.15
专项储备(元)1,576,376.26975,158.0300
盈余公积(元)7,739,623.847,739,623.846,536,009.916,536,009.91
未分配利润(元)19,183,065.8721,819,614.4720,411,604.6717,687,089.14
归属于母公司股东权益合计(元)63,843,492.1265,878,822.4962,292,040.7359,567,525.2
股东权益合计(元)63,843,492.1265,878,822.4962,292,040.7359,567,525.2
负债和股东权益合计(元)116,145,488.86117,819,340.5121,343,697.82111,563,628.71
公告日期2024-08-162024-04-192023-08-252023-04-25