002815 崇达技术
2026/06 - 中期
人民币(K¥)
与去年末期
比较
2025/12
人民幣(K¥)
2024/12
人民幣(K¥)
2023/12
人民幣(K¥)
2022/12
人民幣(K¥)

非流动资产
长期股权投资183,176-2.51%187,892224,581324,770408,265
投资性房地产0--0000
固定资产5,754,4840.28%5,738,1795,255,5974,542,7323,510,887
在建工程290,87550.75%192,958388,252555,448986,996
无形资产229,866-2.19%235,002243,131259,570271,311
商誉0-100.00%476476476476
其他非流动资产194,868-46.75%365,950574,923414,589255,632
6,653,269-1.00%6,720,4566,686,9606,097,5855,433,567

流动资产
货币资金826,298-14.91%971,0781,252,2021,055,9141,188,514
应收账款2,078,98822.90%1,691,6581,584,0631,360,5051,240,933
存货1,443,50724.62%1,158,364891,832720,961740,467
其他流动资产2,169,5273.20%2,102,2421,896,4302,692,816887,084
6,518,32110.04%5,923,3435,624,5275,830,1964,056,999

流动负债
短期借款474,83616.71%406,854323,807285,988183,700
应付票据451,01234.97%334,145522,040489,678519,629
应付帐款1,973,02714.72%1,719,7981,610,3561,315,3061,358,356
其他流动负债552,28213.64%486,010303,117360,965357,132
3,451,15817.12%2,946,8062,759,3212,451,9372,418,818
流动资产净值3,067,1633.04%2,976,5372,865,2063,378,2601,638,181
资产总额减流动负债9,720,4320.24%9,696,9939,552,1669,475,8457,071,748

非流动负债
长期借款156,409-11.01%175,759292,805386,84593,105
应付债券0--01,451,3741,407,7331,359,311
其他非流动负债98,524-6.90%105,824123,878131,149144,856
254,933-9.46%281,5821,868,0571,925,7271,597,271

总权益
    实收股本1,234,1511.35%1,217,7461,081,2511,091,752888,977
    储备项目7,652,6670.18%7,639,0316,090,9025,990,2884,119,750
股东权益8,886,8190.34%8,856,7777,172,1537,082,0405,008,727
非控股权益578,6803.59%558,633511,956468,078465,750