601869 长飞光纤
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2,505,820-10.30%2,793,6583,303,3341,828,1641,684,471
投资性房地产0--0000
固定资产9,205,5488.84%8,457,9536,731,8785,749,3623,763,664
在建工程2,158,6663.65%2,082,556965,5361,644,133608,358
无形资产1,765,7943.43%1,707,1861,610,6411,732,372314,484
商誉962,2953.34%931,215896,911835,88827,145
其他非流动资产1,740,34253.06%1,137,0241,077,749998,520766,715
18,338,4667.18%17,109,59314,586,04912,788,4397,164,836

流动资产
货币资金3,741,19113.63%3,292,5613,895,8374,323,8942,771,271
应收账款5,861,57011.40%5,261,5895,197,0495,035,2364,160,712
存货3,402,4107.14%3,175,7672,941,3533,158,7182,763,023
其他流动资产3,520,77421.94%2,887,2102,522,0572,897,0192,618,808
16,525,94513.06%14,617,12714,556,29515,414,86712,313,813

流动负债
短期借款2,307,25815.34%2,000,4101,749,5371,754,8821,717,697
应付票据1,424,17421.39%1,173,2081,368,3531,430,935940,550
应付帐款2,248,86414.70%1,960,5671,787,8412,031,6521,773,023
其他流动负债6,115,64217.36%5,210,8614,176,3072,857,7892,131,661
12,095,93716.92%10,345,0469,082,0388,075,2586,562,931
流动资产净值4,430,0083.70%4,272,0815,474,2577,339,6095,750,882
资产总额减流动负债22,768,4746.49%21,381,67420,060,30620,128,04812,915,718

非流动负债
长期借款4,779,239-0.24%4,790,7014,855,1833,950,9881,289,500
应付债券500,933--000488,076
其他非流动负债1,315,35130.27%1,009,681807,6251,639,998553,115
6,595,52213.71%5,800,3825,662,8095,590,9872,330,691

总权益
    实收股本757,9050.00%757,905757,905757,905757,905
    储备项目11,069,1181.82%10,871,07710,549,2039,386,3419,024,093
股东权益11,827,0231.70%11,628,98211,307,10810,144,2469,781,998
非控股权益4,345,9299.96%3,952,3103,090,3894,392,815803,030