002967 广电计量
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53,621-0.22%53,74156,80049,76450,030
投资性房地产52,692-1.63%53,56454,65456,38057,559
固定资产2,131,005-3.55%2,209,4241,354,6101,401,3141,303,921
在建工程0--0476,755179,77023,392
无形资产145,643-1.90%148,467155,196156,522154,379
商誉167,6990.70%166,531199,132249,804213,069
其他非流动资产768,27416.74%658,085472,208535,110514,295
3,318,9340.89%3,289,8122,769,3542,628,6642,316,645

流动资产
货币资金627,991-38.73%1,024,9631,459,7371,265,8171,564,124
应收账款1,533,53715.50%1,327,7811,274,0471,201,762972,278
存货73,822138.57%30,94439,83023,16214,787
其他流动资产765,785-13.10%881,178527,889434,724412,277
3,001,135-8.08%3,264,8653,301,5042,925,4642,963,465

流动负债
短期借款657,393-31.62%961,327754,017534,970492,124
应付票据73,20914.35%64,02283,871107,370110,823
应付帐款373,243-16.53%447,152317,295307,657263,798
其他流动负债649,986-21.37%826,599517,071542,550537,489
1,753,831-23.72%2,299,1001,672,2551,492,5471,404,234
流动资产净值1,247,30429.15%965,7661,629,2491,432,9171,559,231
资产总额减流动负债4,566,2387.30%4,255,5774,398,6034,061,5813,875,876

非流动负债
长期借款817,13741.08%579,215439,978180,57287,927
应付债券0--0000
其他非流动负债275,7646.60%258,681286,031316,036317,746
1,092,90130.43%837,896726,009496,608405,673

总权益
    实收股本583,2460.00%583,246575,226575,226575,226
    储备项目2,775,3770.82%2,752,6733,020,4292,915,8052,834,632
股东权益3,358,6230.68%3,335,9193,595,6553,491,0313,409,858
非控股权益114,71340.30%81,76376,93973,94260,344