002637 赞宇科技
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201,753-5.75%214,070255,187283,426115,804
投资性房地产105,7080.00%105,70885,474280,892280,892
固定资产2,932,497-1.44%2,975,4902,673,8962,486,2771,804,629
在建工程407,87053.47%265,767557,720220,608492,507
无形资产803,63958.99%505,470502,863396,3291,561,734
商誉75,5110.00%75,51180,34374,889128,563
其他非流动资产148,2950.82%147,093119,194101,216220,140
4,675,2739.00%4,289,1104,274,6783,843,6394,604,269

流动资产
货币资金666,42298.80%335,215702,996593,658632,762
应收账款754,16861.50%466,985401,625489,411762,600
存货1,396,689-11.01%1,569,4281,380,2991,428,3241,302,204
其他流动资产1,093,022-13.75%1,267,2611,097,5131,312,5781,117,684
3,910,3017.46%3,638,8893,582,4333,823,9713,815,251

流动负债
短期借款1,680,68615.43%1,456,0501,355,5161,114,672933,455
应付票据391,83354.66%253,353261,374621,878177,679
应付帐款756,71144.37%524,158310,564404,247804,915
其他流动负债1,254,97625.44%1,000,4701,108,029599,660801,831
4,084,20626.29%3,234,0313,035,4842,740,4572,717,879
流动资产净值(173,904)-142.95%404,857546,9491,083,5141,097,371
资产总额减流动负债4,501,369-4.10%4,693,9684,821,6274,927,1525,701,640

非流动负债
长期借款473,599-31.70%693,388894,1851,084,3881,156,610
应付债券0--0000
其他非流动负债204,4855.31%194,167167,032163,713175,234
678,084-23.60%887,5541,061,2171,248,1011,331,844

总权益
    实收股本470,4010.00%470,401470,401470,401470,401
    储备项目3,331,7031.13%3,294,5023,229,1573,100,5483,563,767
股东权益3,802,1040.99%3,764,9033,699,5583,570,9494,034,168
非控股权益21,181-48.97%41,51060,851108,102335,629