002055 ST得润电子
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196,7592.83%191,339205,514234,424289,119
投资性房地产198,165-1.51%201,207213,37514,35821,836
固定资产1,066,225-1.25%1,079,7211,029,3841,583,2491,151,581
在建工程28,01826.90%22,07976,18347,169636,193
无形资产160,189-1.29%162,288170,643378,886502,950
商誉8,5360.00%8,5368,536334,106334,106
其他非流动资产389,3610.99%385,560506,4961,055,484829,567
2,047,252-0.17%2,050,7312,210,1313,647,6753,765,352

流动资产
货币资金190,97410.29%173,15279,430370,5411,119,927
应收账款1,356,873-11.02%1,524,9101,548,6671,653,3611,720,905
存货748,71614.34%654,793614,268925,3831,509,239
其他流动资产724,56911.05%652,485732,0801,267,0171,244,588
3,021,1330.53%3,005,3392,974,4454,216,3025,594,659

流动负债
短期借款249,16210.16%226,188375,870661,269798,999
应付票据8,177-21.08%10,36131,16187,286333,674
应付帐款1,162,504-5.14%1,225,5181,327,6702,106,6582,151,113
其他流动负债614,8943.93%591,631441,925628,225951,393
2,034,738-0.92%2,053,6992,176,6253,483,4384,235,180
流动资产净值986,3963.65%951,641797,820732,8641,359,480
资产总额减流动负债3,033,6481.04%3,002,3713,007,9514,380,5405,124,832

非流动负债
长期借款123,577-0.97%124,784118,77796,136113,230
应付债券0--0000
其他非流动负债1,561,0350.24%1,557,3051,544,6471,777,1241,811,583
1,684,6110.15%1,682,0891,663,4251,873,2601,924,813

总权益
    实收股本604,4900.00%604,490604,490604,490604,490
    储备项目751,1084.80%716,689742,6282,010,7472,222,388
股东权益1,355,5982.61%1,321,1791,347,1182,615,2372,826,878
非控股权益(6,562)632.37%(896)(2,591)(107,957)373,141