300790 宇瞳光學
按盤價 不變15.890 -0.510 (-3.11%)
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65,0022.23%63,58327700
投資性房地產274,239-3.55%284,321236,194230,815144,670
固定資產2,493,899-0.58%2,508,5482,288,4821,951,9541,713,257
在建工程88,444-18.98%109,157105,039198,366249,798
無形資產114,639-1.15%115,969118,433122,093121,318
商譽79,3350.00%79,33579,33541,82266,926
其他非流動資產486,28927.87%380,291254,392242,586198,555
3,601,8471.71%3,541,2023,082,1522,787,6372,494,524

流動資產
貨幣資金599,849-6.42%641,028539,830504,286311,464
應收賬款988,284-16.86%1,188,766851,946726,785515,148
存貨835,5963.97%803,675580,077600,667720,132
其他流動資產105,913-23.49%138,432255,982436,465233,838
2,529,642-8.74%2,771,9012,227,8352,268,2031,780,582

流動負債
短期借款1,121,936-0.39%1,126,283988,6771,029,065929,164
應付票據0--0031,951125,114
應付帳款766,683-26.50%1,043,138764,819854,599536,806
其他流動負債450,62610.57%407,547426,409333,427286,554
2,339,246-9.22%2,576,9682,179,9052,249,0411,877,637
流動資產淨值190,397-2.33%194,93347,93019,161(97,055)
資產總額減流動負債3,792,2431.50%3,736,1353,130,0822,806,7982,397,469

非流動負債
長期借款964,646-0.52%969,653644,831297,858430,686
應付債券0--00450,1420
其他非流動負債112,040-5.15%118,12878,12060,23467,468
1,076,686-1.02%1,087,781722,951808,234498,154

總權益
    實收股本374,1190.00%374,119374,119335,547338,381
    儲備項目2,341,4382.95%2,274,2352,033,0121,545,5661,461,872
股東權益2,715,5572.54%2,648,3542,407,1311,881,1131,800,253
非控股權益0--00117,45299,062
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備註: 報價延遲最少15分鐘,資料更新時間為 24/07/2026 16:30