300708 聚燦光電
按盤價 不變8.060 +0.100 (+1.26%)
2026/03 -
人民幣(K¥)
與去年末期
比較
2025/12
人民幣(K¥)
2024/12
人民幣(K¥)
2023/12
人民幣(K¥)
2022/12
人民幣(K¥)

非流動資產
長期股權投資0--0000
投資性房地產80,791-0.86%81,48884,27682,37974,951
固定資產1,601,575-1.31%1,622,7841,486,0651,241,6911,183,580
在建工程277,59525.93%220,432156,56616,044185,722
無形資產22,277-1.42%22,59823,74325,01524,798
商譽0--0000
其他非流動資產140,87518.95%118,436159,832100,79457,772
2,123,1132.78%2,065,7391,910,4821,465,9241,526,822

流動資產
貨幣資金1,178,403-11.19%1,326,9211,552,9852,335,8691,020,513
應收賬款552,4996.29%519,785465,296458,231421,238
存貨659,5895.40%625,768239,522221,283292,438
其他流動資產602,4628.66%554,449463,970258,437377,724
2,992,953-1.12%3,026,9232,721,7733,273,8202,111,913

流動負債
短期借款710,60053.94%461,600525,000875,203609,150
應付票據849,124-24.35%1,122,453903,582597,406837,648
應付帳款448,3466.42%421,315390,907263,934387,001
其他流動負債207,062-5.13%218,26592,413119,820107,711
2,215,132-0.38%2,223,6331,911,9021,856,3631,941,511
流動資產淨值777,821-3.17%803,291809,8711,417,457170,402
資產總額減流動負債2,900,9341.11%2,869,0292,720,3532,883,3801,697,224

非流動負債
長期借款0--00014,789
應付債券0--0000
其他非流動負債2,640-68.62%8,4123,51319368,864
2,640-68.62%8,4123,51319383,654

總權益
    實收股本938,9150.00%938,915676,212670,983544,689
    儲備項目1,959,3791.96%1,921,7022,040,6282,212,2051,068,882
股東權益2,898,2941.32%2,860,6172,716,8402,883,1871,613,571
非控股權益0--0000
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備註: 報價延遲最少15分鐘,資料更新時間為 25/06/2026 16:30