600699 均胜电子
2025/09 - 九个月
人民币(K¥)
与去年末期
比较
2024/12
人民幣(K¥)
2023/12
人民幣(K¥)
2022/12
人民幣(K¥)
2021/12
人民幣(K¥)

非流动资产
长期股权投资200,90019.90%167,5602,295,3142,087,2991,945,800
投资性房地产19,573-6.33%20,895000
固定资产13,374,5021.26%13,208,31110,995,04911,146,16410,921,534
在建工程3,188,83615.77%2,754,5342,761,0832,148,6421,834,213
无形资产4,792,617-0.56%4,819,4963,588,4223,238,4063,458,263
商誉7,250,0910.47%7,216,3155,547,0025,421,0705,009,181
其他非流动资产7,703,30430.78%5,890,2225,337,5925,094,6263,905,418
36,529,8227.20%34,077,33330,524,46329,136,20727,074,409

流动资产
货币资金7,204,545-0.80%7,262,6125,176,3085,404,9466,246,975
应收账款9,058,4894.38%8,678,2408,032,0617,600,8856,846,873
存货11,281,4257.05%10,538,1599,246,1848,511,6587,030,985
其他流动资产4,605,14927.58%3,609,5243,907,8323,458,3984,127,439
32,149,6086.85%30,088,53526,362,38524,975,88624,252,272

流动负债
短期借款6,113,99823.17%4,963,8034,243,7033,007,5863,396,274
应付票据743,003382.14%154,105147,19474,763132,133
应付帐款10,765,943-0.23%10,791,0469,563,2178,846,6997,118,706
其他流动负债12,017,68522.24%9,830,8758,676,4948,946,1666,561,642
29,640,62915.15%25,739,82922,630,60820,875,21417,208,755
流动资产净值2,508,978-42.31%4,348,7073,731,7774,100,6737,043,517
资产总额减流动负债39,038,8011.59%38,426,03934,256,24033,236,88034,117,926

非流动负债
长期借款14,294,261-5.87%15,185,42611,960,00812,467,73913,498,546
应付债券0--000500,000
其他非流动负债3,602,5206.11%3,395,0703,169,8603,065,4633,264,662
17,896,781-3.68%18,580,49615,129,86815,533,20217,263,209

总权益
    实收股本1,395,671-0.93%1,408,7021,408,7021,368,0851,368,085
    储备项目12,927,4276.40%12,149,38112,170,33310,884,81510,005,190
股东权益14,323,0975.64%13,558,08213,579,03412,252,90011,373,275
非控股权益6,818,9228.45%6,287,4615,547,3385,450,7785,481,443