002384 东山精密
2025/06 - 中期
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123,201-20.52%155,009155,407139,767143,121
投资性房地产653-16.39%7811,0391,2971,554
固定资产15,127,79811.27%13,595,19112,415,25210,673,70010,736,271
在建工程2,440,814-5.22%2,575,1541,842,5251,813,184503,038
无形资产933,681-3.00%962,594863,692302,590297,384
商誉2,117,430-0.10%2,119,6122,209,2002,191,9402,211,723
其他非流动资产3,945,2750.44%3,928,0384,438,8613,406,6532,327,510
24,688,8535.80%23,336,38021,925,97518,529,13116,220,600

流动资产
货币资金8,727,97221.69%7,172,3317,190,0367,131,2035,400,837
应收账款6,002,284-21.68%7,663,4587,713,1657,006,4117,666,080
存货6,408,3294.16%6,152,6566,293,8796,165,7386,451,712
其他流动资产2,059,26921.90%1,689,3481,248,6631,970,1232,212,179
23,197,8542.29%22,677,79322,445,74422,273,47621,730,808

流动负债
短期借款5,799,40320.55%4,810,9545,156,1007,794,4108,047,168
应付票据934,630-0.10%935,581909,1712,008,4061,646,644
应付帐款9,082,352-5.97%9,659,2698,039,1075,986,2876,729,890
其他流动负债3,603,332-4.09%3,757,1713,745,3732,278,6722,510,665
19,419,7181.34%19,162,97617,849,75218,067,77418,934,367
流动资产净值3,778,1367.49%3,514,8174,595,9924,205,7022,796,441
资产总额减流动负债28,466,9896.02%26,851,19726,521,96722,734,83319,017,041

非流动负债
长期借款4,705,082-11.04%5,289,1884,706,2803,197,8222,030,526
应付债券0--0000
其他非流动负债2,831,9155.83%2,675,9063,625,3303,111,4522,316,173
7,536,997-5.37%7,965,0948,331,6106,309,2744,346,699

总权益
    实收股本1,831,6087.37%1,705,9141,709,8671,709,8671,709,867
    储备项目19,038,11611.20%17,120,47416,433,15914,668,76412,866,633
股东权益20,869,72410.85%18,826,38718,143,02716,378,63114,576,500
非控股权益60,2680.92%59,71647,33046,92893,842