002815 崇達技術
按盤價 不變13.170 -0.390 (-2.88%)
2025/09 - 九個月
人民幣(K¥)
與去年末期
比較
2024/12
人民幣(K¥)
2023/12
人民幣(K¥)
2022/12
人民幣(K¥)
2021/12
人民幣(K¥)

非流動資產
長期股權投資211,148-5.98%224,581324,770408,265421,395
投資性房地產0--0000
固定資產5,646,2987.43%5,255,5974,542,7323,510,8873,265,542
在建工程225,192-42.00%388,252555,448986,996422,497
無形資產293,80620.84%243,131259,570271,311286,858
商譽4760.00%476476476476
其他非流動資產527,316-8.28%574,923414,589255,632257,398
6,904,2363.25%6,686,9606,097,5855,433,5674,654,167

流動資產
貨幣資金1,048,624-16.26%1,252,2021,055,9141,188,514650,490
應收賬款1,759,52111.08%1,584,0631,360,5051,240,9331,319,346
存貨1,077,19020.78%891,832720,961740,467915,019
其他流動資產1,995,2885.21%1,896,4302,692,816887,0841,155,132
5,880,6244.55%5,624,5275,830,1964,056,9994,039,987

流動負債
短期借款380,75917.59%323,807285,988183,700151,044
應付票據476,710-8.68%522,040489,678519,629689,294
應付帳款1,769,4359.88%1,610,3561,315,3061,358,3561,336,801
其他流動負債421,45639.04%303,117360,965357,132293,678
3,048,36010.48%2,759,3212,451,9372,418,8182,470,817
流動資產淨值2,832,263-1.15%2,865,2063,378,2601,638,1811,569,170
資產總額減流動負債9,736,4991.93%9,552,1669,475,8457,071,7486,223,338

非流動負債
長期借款237,899-18.75%292,805386,84593,10516,228
應付債券0-100.00%1,451,3741,407,7331,359,3111,307,555
其他非流動負債113,830-8.11%123,878131,149144,856153,029
351,729-81.17%1,868,0571,925,7271,597,2711,476,811

總權益
    實收股本1,217,74612.62%1,081,2511,091,752888,977875,646
    儲備項目7,626,28225.21%6,090,9025,990,2884,119,7503,668,234
股東權益8,844,02723.31%7,172,1537,082,0405,008,7274,543,881
非控股權益540,7435.62%511,956468,078465,750202,646
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備註: 報價延遲最少15分鐘,資料更新時間為 14/11/2025 16:30