603618 杭電股份
按盤價 不變6.760 +0.180 (+2.74%)
2025/03 -
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83,393-0.06%83,44492,47097,368102,056
投資性房地產39,920-1.55%40,54725,90727,7638,285
固定資產1,826,414-1.88%1,861,3861,725,0621,701,1521,460,838
在建工程498,731-2.07%509,252597,484234,940315,419
無形資產219,962-0.28%220,586226,624233,045210,514
商譽0--0000
其他非流動資產74,9729.02%68,76675,70662,87853,384
2,743,391-1.46%2,783,9812,743,2532,357,1452,150,497

流動資產
貨幣資金1,007,7716.60%945,3561,212,907925,363965,933
應收賬款3,465,4528.23%3,202,0352,941,3712,861,4172,253,229
存貨1,828,269-3.07%1,886,1221,731,1401,683,8391,895,629
其他流動資產1,317,1197.71%1,222,8551,264,6051,547,1111,489,727
7,618,6104.99%7,256,3687,150,0237,017,7306,604,518

流動負債
短期借款3,339,363-0.79%3,365,9822,562,4993,133,6122,949,537
應付票據742,879109.85%354,003658,476716,197659,630
應付帳款621,735-11.88%705,535570,888430,622443,075
其他流動負債1,022,870-22.39%1,317,9462,231,130785,8931,005,782
5,726,846-0.29%5,743,4666,022,9935,066,3235,058,024
流動資產淨值1,891,76425.04%1,512,9011,127,0301,951,4081,546,494
資產總額減流動負債4,635,1557.87%4,296,8833,870,2834,308,5533,696,991

非流動負債
長期借款1,359,62525.53%1,083,130801,708584,979120,868
應付債券0--00773,646737,013
其他非流動負債121,172-1.30%122,76575,86267,44267,207
1,480,79722.80%1,205,895877,5701,426,067925,088

總權益
    實收股本691,3760.00%691,376691,067691,056691,049
    儲備項目2,374,9362.67%2,313,2282,206,1602,104,0512,006,552
股東權益3,066,3122.05%3,004,6042,897,2272,795,1072,697,601
非控股權益88,0471.93%86,38495,48787,37974,302
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備註: 報價延遲最少15分鐘,資料更新時間為 15/07/2025 16:30