600261 阳光照明
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16,1520.73%16,03514,53913,74214,132
投资性房地产34,666-2.27%35,47238,69525,05027,368
固定资产831,362-1.82%846,778900,207993,2451,069,986
在建工程9,18217.24%7,8327,5452,2611,533
无形资产108,546-4.24%113,354127,070168,338189,025
商誉90,410-3.34%93,53786,26689,68285,213
其他非流动资产319,86429.75%246,527243,810241,505332,491
1,410,1823.73%1,359,5361,418,1301,533,8221,719,747

流动资产
货币资金1,464,173-36.51%2,306,0062,297,1811,816,9681,971,456
应收账款800,62116.64%686,422750,228621,758753,664
存货439,148-4.72%460,890510,110511,475649,965
其他流动资产1,104,919228.31%336,552312,446899,643474,396
3,808,8610.50%3,789,8713,869,9653,849,8443,849,480

流动负债
短期借款64,758175.51%23,50558,446119,798105,808
应付票据412,1938.78%378,929403,984355,255383,249
应付帐款553,289-0.12%553,927603,994557,451677,809
其他流动负债368,8380.23%367,978425,108452,082512,138
1,399,0795.64%1,324,3381,491,5331,484,5861,679,004
流动资产净值2,409,782-2.26%2,465,5332,378,4322,365,2572,170,477
资产总额减流动负债3,819,964-0.13%3,825,0693,796,5623,899,0793,890,224

非流动负债
长期借款76,427-3.71%79,37132,16667,86365,492
应付债券0--0000
其他非流动负债176,1551.55%173,471212,888192,496210,285
252,582-0.10%252,842245,054260,359275,777

总权益
    实收股本1,335,0530.00%1,335,0531,335,0531,375,1821,414,660
    储备项目2,198,563-0.23%2,203,6312,184,3732,234,3622,169,013
股东权益3,533,616-0.14%3,538,6843,519,4263,609,5433,583,673
非控股权益33,7660.66%33,54332,08229,17730,774