300331 苏大维格
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7,223-1.43%7,32810,60711,19612,252
投资性房地产17,119-0.77%17,25217,78018,30918,838
固定资产791,365-1.78%805,730856,853892,022910,282
在建工程25,630-3.45%26,54617,10346,73658,051
无形资产132,03154.26%85,59088,98392,94697,566
商誉437,4351,295.86%31,33843,37174,75582,011
其他非流动资产212,842-27.21%292,420117,945130,119154,236
1,623,64528.23%1,266,2031,152,6431,266,0831,333,237

流动资产
货币资金696,3062.36%680,272394,089584,930779,825
应收账款504,284-2.65%518,017509,877556,977492,024
存货613,42810.59%554,685538,798559,177507,025
其他流动资产299,56445.28%206,192398,343150,805131,811
2,113,5827.88%1,959,1661,841,1081,851,8891,910,686

流动负债
短期借款599,0626.56%562,165521,565527,288604,944
应付票据119,79844.56%82,86922740,00037,976
应付帐款457,210-4.72%479,847377,670425,333413,699
其他流动负债283,63324.43%227,945284,894138,953158,556
1,459,7037.90%1,352,8261,184,3571,131,5731,215,175
流动资产净值653,8797.84%606,340656,751720,315695,511
资产总额减流动负债2,277,52421.63%1,872,5431,809,3941,986,3982,028,749

非流动负债
长期借款374,684204.23%123,16029,40089,00075,575
应付债券0--0000
其他非流动负债160,6545.09%152,866138,261148,295139,294
535,33893.94%276,026167,661237,295214,870

总权益
    实收股本259,6620.00%259,662259,662259,662259,662
    储备项目1,280,9132.40%1,250,8851,301,3501,405,0211,464,856
股东权益1,540,5751.99%1,510,5471,561,0121,664,6841,724,518
非控股权益201,611134.51%85,97080,72184,42089,361