688002 睿创微纳
2026/06 - 中期
人民币(K¥)
与去年末期
比较
2025/12
人民幣(K¥)
2024/12
人民幣(K¥)
2023/12
人民幣(K¥)
2022/12
人民幣(K¥)

非流动资产
长期股权投资410,771116.98%189,313183,693150,416128,942
投资性房地产37,284-3.63%38,69035,30337,92940,769
固定资产2,015,7371.50%1,985,9901,909,5501,772,2591,313,415
在建工程284,20546.41%194,11691,53386,254111,672
无形资产209,867-4.65%220,096224,439227,318231,923
商誉137,9310.00%137,931137,931142,003116,246
其他非流动资产1,561,79827.59%1,224,0471,441,2151,370,852748,341
4,657,59316.73%3,990,1844,023,6623,787,0312,691,308

流动资产
货币资金978,080-4.89%1,028,3511,051,2611,390,804952,598
应收账款1,558,92010.77%1,407,3711,317,7281,223,008827,066
存货2,187,42014.01%1,918,6851,744,8031,555,7981,496,137
其他流动资产2,919,29034.81%2,165,528668,743340,430360,550
7,643,71117.24%6,519,9344,782,5344,510,0403,636,350

流动负债
短期借款10,000-50.04%20,015135,113203,178420,368
应付票据648,59859.29%407,186287,423248,765226,668
应付帐款1,029,5514.88%981,618783,298678,551517,408
其他流动负债956,76535.24%707,474476,032434,386533,459
2,644,91524.98%2,116,2941,681,8651,564,8811,697,903
流动资产净值4,998,79613.52%4,403,6413,100,6692,945,1591,938,446
资产总额减流动负债9,656,38915.04%8,393,8257,124,3326,732,1904,629,755

非流动负债
长期借款0-100.00%31,7599,000088,118
应付债券1,198,283-12.17%1,364,3251,321,2251,355,13126
其他非流动负债400,56010.64%362,054263,628254,691202,347
1,598,843-9.06%1,758,1391,593,8531,609,822290,491

总权益
    实收股本469,9522.11%460,238454,923447,304446,024
    储备项目7,634,60923.30%6,191,9314,949,4164,365,0163,515,795
股东权益8,104,56121.83%6,652,1695,404,3394,812,3203,961,819
非控股权益(47,015)185.23%(16,483)126,140310,047377,444