300790 宇瞳光学
2024/09 - 九个月
人民币(K¥)
与去年末期
比较
2023/12
人民幣(K¥)
2022/12
人民幣(K¥)
2021/12
人民幣(K¥)
2020/12
人民幣(K¥)

非流动资产
长期股权投资272--0000
投资性房地产238,9943.54%230,815144,670127,442122,794
固定资产1,864,044-4.50%1,951,9541,713,2571,322,363702,704
在建工程243,51322.76%198,366249,798118,860353,740
无形资产117,664-3.63%122,093121,31863,98064,098
商誉83,55899.79%41,82266,92600
其他非流动资产294,01921.20%242,586198,555141,855139,369
2,842,0641.95%2,787,6372,494,5241,774,5001,382,704

流动资产
货币资金541,9097.46%504,286311,464236,666223,656
应收账款834,38914.81%726,785515,148547,544598,783
存货582,235-3.07%600,667720,132668,044370,640
其他流动资产256,272-41.28%436,465233,838215,842150,983
2,214,805-2.35%2,268,2031,780,5821,668,0951,344,061

流动负债
短期借款1,170,06513.70%1,029,065929,164492,237407,578
应付票据0-100.00%31,951125,114176,92650,000
应付帐款581,628-31.94%854,599536,806619,307537,288
其他流动负债407,74922.29%333,427286,554338,080139,643
2,159,442-3.98%2,249,0411,877,6371,626,5501,134,509
流动资产净值55,362188.93%19,161(97,055)41,545209,553
资产总额减流动负债2,897,4263.23%2,806,7982,397,4691,816,0451,592,256

非流动负债
长期借款493,83865.80%297,858430,686140,000270,535
应付债券477,4336.06%450,142000
其他非流动负债66,0929.73%60,23467,46840,36039,251
1,037,36328.35%808,234498,154180,360309,786

总权益
    实收股本326,022-2.84%335,547338,381224,762210,119
    储备项目1,534,042-0.75%1,545,5661,461,8721,410,9231,072,351
股东权益1,860,063-1.12%1,881,1131,800,2531,635,6861,282,470
非控股权益0-100.00%117,45299,06200