300567 精测电子
2024/09 - 九个月
人民币(K¥)
与去年末期
比较
2023/12
人民幣(K¥)
2022/12
人民幣(K¥)
2021/12
人民幣(K¥)
2020/12
人民幣(K¥)

非流动资产
长期股权投资772,480155.79%302,000254,697215,825221,661
投资性房地产28,3851,458.76%1,8211,8841,9470
固定资产1,974,344-1.81%2,010,7321,537,840662,379636,074
在建工程749,19319.14%628,824633,757764,359302,804
无形资产306,1522.78%297,883311,899211,817191,494
商誉35,1070.00%35,10735,10735,10735,107
其他非流动资产473,2122.25%462,795419,605345,889276,886
4,338,87116.04%3,739,1623,194,7892,237,3231,664,026

流动资产
货币资金1,710,143-7.55%1,849,843940,7431,473,9621,301,071
应收账款1,530,4351.86%1,502,4801,460,093917,249738,501
存货1,914,43028.55%1,489,1951,354,388942,939875,169
其他流动资产750,77117.19%640,655526,913475,868405,550
5,905,7807.73%5,482,1734,282,1363,810,0183,320,291

流动负债
短期借款1,047,222-9.69%1,159,6041,266,460630,000967,780
应付票据97,08915.07%84,371168,40364,793122,692
应付帐款869,626-0.04%869,9721,047,114600,646730,160
其他流动负债1,037,61923.88%837,624591,395376,569405,831
3,051,5563.39%2,951,5703,073,3711,672,0082,226,463
流动资产净值2,854,22412.79%2,530,6021,208,7652,138,0101,093,828
资产总额减流动负债7,193,09514.73%6,269,7654,403,5554,375,3332,757,854

非流动负债
长期借款1,181,723332.86%273,002229,465229,251285,037
应付债券1,096,335-19.52%1,362,189293,292281,331269,974
其他非流动负债457,42110.09%415,487354,453322,444345,457
2,735,47933.39%2,050,678877,210833,027900,468

总权益
    实收股本273,467-1.68%278,151278,144278,144246,683
    储备项目3,311,252-3.39%3,427,4182,947,0823,036,6171,504,849
股东权益3,584,719-3.26%3,705,5693,225,2263,314,7611,751,532
非控股权益872,89769.98%513,518301,119227,546105,854