600487 亨通光电
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1,620,7460.20%1,617,5811,775,3791,840,1611,512,934
投资性房地产76,401-3.21%78,93554,08455,9624,827
固定资产12,455,581-0.50%12,517,68210,868,5938,216,0286,955,426
在建工程802,83437.73%582,9062,113,4652,312,4073,040,490
无形资产1,479,283-1.85%1,507,1091,583,8812,126,6761,677,695
商誉848,0520.00%848,052903,8601,020,5361,036,856
其他非流动资产2,580,76214.30%2,257,8542,069,8682,276,9322,228,708
19,863,6592.34%19,410,12119,369,13017,848,70216,456,937

流动资产
货币资金12,763,7227.09%11,918,46311,534,9219,679,34110,248,321
应收账款18,331,6069.03%16,813,28514,934,52514,589,96913,889,074
存货9,643,3076.66%9,040,7538,299,6884,799,7085,152,858
其他流动资产9,117,117-1.50%9,256,0398,352,5088,765,8886,710,203
49,855,7526.01%47,028,54043,121,64237,834,90536,000,455

流动负债
短期借款10,475,92438.14%7,583,2939,255,4257,491,4437,993,705
应付票据7,044,06143.14%4,921,2484,215,5224,908,1094,102,525
应付帐款5,747,668-17.55%6,970,8845,642,9455,399,2455,411,997
其他流动负债10,993,7770.93%10,892,4119,843,2696,272,4526,379,778
34,261,43012.82%30,367,83628,957,16024,071,24823,888,005
流动资产净值15,594,322-6.40%16,660,70414,164,48113,763,65712,112,450
资产总额减流动负债35,457,981-1.70%36,070,82533,533,61131,612,35928,569,388

非流动负债
长期借款2,413,155-43.45%4,267,4704,357,5084,173,2191,750,072
应付债券0--0165,21901,666,398
其他非流动负债630,394-30.18%902,845892,018529,703502,868
3,043,549-41.13%5,170,3155,414,7444,702,9223,919,338

总权益
    实收股本2,466,7350.00%2,466,7352,466,7352,466,7352,362,209
    储备项目27,451,0005.30%26,068,22523,176,14421,238,09418,407,181
股东权益29,917,7344.85%28,534,95925,642,87823,704,82920,769,390
非控股权益2,496,6985.54%2,365,5512,475,9883,204,6093,880,660