688388 嘉元科技
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532,5205.36%505,419000
投资性房地产0--0000
固定资产5,727,2145.69%5,419,0805,411,8605,341,2772,745,189
在建工程753,5439.06%690,917590,123610,7702,090,408
无形资产380,413-1.24%385,175393,939399,414277,039
商誉17,8110.00%17,81117,81122,69021,200
其他非流动资产502,449-7.97%545,987644,259790,962638,156
7,913,9504.62%7,564,3897,057,9927,165,1145,771,992

流动资产
货币资金2,473,3717.27%2,305,6411,980,6432,542,2582,134,095
应收账款2,134,23026.64%1,685,3391,603,733556,210577,564
存货1,963,85841.96%1,383,4211,370,724954,153936,603
其他流动资产1,217,974-32.01%1,791,3401,031,6521,583,4231,375,518
7,789,4338.70%7,165,7415,986,7525,636,0435,023,780

流动负债
短期借款859,280-28.97%1,209,683889,466351,579716,656
应付票据203,826-14.57%238,587234,9841,178,871214,974
应付帐款1,032,47818.26%873,051897,1761,012,563814,058
其他流动负债1,510,4619.34%1,381,492676,807276,150176,150
3,606,044-2.61%3,702,8132,698,4332,819,1631,921,838
流动资产净值4,183,38820.80%3,462,9293,288,3202,816,8813,101,942
资产总额减流动负债12,097,3389.70%11,027,31810,346,3129,981,9958,873,934

非流动负债
长期借款3,253,96422.66%2,652,8932,083,9141,437,334370,000
应付债券0-100.00%1,050,6221,000,039943,659886,210
其他非流动负债245,9091.74%241,702215,702297,112213,694
3,499,873-11.29%3,945,2173,299,6542,678,1051,469,904

总权益
    实收股本659,90754.82%426,254426,238426,238304,456
    储备项目7,689,13318.05%6,513,6996,475,8176,738,9306,981,832
股东权益8,349,04020.30%6,939,9546,902,0557,165,1687,286,287
非控股权益248,42574.77%142,147144,602138,722117,742