002050 三花智控
2026/03 -
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43,555-2.32%44,58940,60037,92432,438
投资性房地产6,437-6.78%6,9057,0538,1668,204
固定资产11,413,873-2.22%11,673,2309,794,4547,730,3646,374,896
在建工程1,932,49710.91%1,742,4682,171,9852,036,3271,032,506
无形资产1,230,930-2.15%1,258,0331,074,511843,866727,263
商誉0--006,7857,592
其他非流动资产931,460-2.81%958,391964,9821,155,6121,022,611
15,558,751-0.80%15,683,61714,053,58511,819,0459,205,511

流动资产
货币资金14,336,266-3.86%14,911,9855,248,5686,584,6855,878,244
应收账款7,010,919-4.87%7,370,0566,951,0675,773,9915,228,117
存货5,879,3224.25%5,639,7925,280,4424,600,7294,334,875
其他流动资产6,579,40613.42%5,800,6814,821,0873,112,1353,314,467
33,805,9130.25%33,722,51422,301,16320,071,54018,755,704

流动负债
短期借款1,392,7790.07%1,391,7791,553,3461,212,1501,294,083
应付票据4,249,322-1.05%4,294,3063,791,8353,416,7122,580,275
应付帐款5,801,771-1.58%5,894,9035,985,4274,449,9403,884,603
其他流动负债3,215,634-15.03%3,784,2512,302,6962,740,0421,696,962
14,659,506-4.59%15,365,23913,633,30411,818,8449,455,924
流动资产净值19,146,4084.30%18,357,2758,667,8598,252,6969,299,780
资产总额减流动负债34,705,1591.95%34,040,89122,721,44520,071,74118,505,290

非流动负债
长期借款635,000-26.39%862,6972,045,7731,030,8011,801,574
应付债券0--0002,776,763
其他非流动负债1,132,962-0.44%1,137,9651,156,028977,232807,653
1,767,962-11.63%2,000,6623,201,8012,008,0335,385,990

总权益
    实收股本4,208,0140.00%4,208,0143,732,3903,732,6163,590,869
    储备项目28,419,8663.19%27,540,91315,565,38014,161,7889,350,441
股东权益32,627,8802.77%31,748,92719,297,76917,894,40412,941,310
非控股权益309,3176.18%291,303221,874169,304177,990