300870 欧陆通
2026/06 - 中期
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41,904-25.59%56,31577,04995,121858
投资性房地产238,015-1.26%241,050247,119120,7270
固定资产1,099,8615.40%1,043,487960,6901,013,8041,097,803
在建工程232,69181.39%128,280149,846133,049138,969
无形资产67,426-0.71%67,91068,70771,82976,101
商誉0--0000
其他非流动资产395,5819.59%360,973308,707139,240104,028
2,075,4789.35%1,898,0161,812,1191,573,7701,417,760

流动资产
货币资金1,186,2448.18%1,096,5951,026,474669,082517,773
应收账款1,756,44232.64%1,324,1721,387,878890,787816,049
存货1,014,25491.90%528,521464,660336,462402,690
其他流动资产333,760-41.14%567,030631,077279,505194,170
4,290,70022.02%3,516,3183,510,0902,175,8371,930,682

流动负债
短期借款313,222310.41%76,320236,768115,058200,547
应付票据797,58416.07%687,181481,325468,760291,492
应付帐款1,811,57257.82%1,147,8521,241,850737,490660,104
其他流动负债282,691-14.23%329,608306,316207,314255,604
3,205,07043.02%2,240,9622,266,2581,528,6211,407,748
流动资产净值1,085,630-14.88%1,275,3561,243,832647,216522,935
资产总额减流动负债3,161,108-0.39%3,173,3723,055,9512,220,9861,940,695

非流动负债
长期借款152,026-12.35%173,449216,296319,550261,990
应付债券233,3751.79%229,261546,11100
其他非流动负债146,89919.26%123,173123,36145,11350,500
532,3001.22%525,883885,769364,663312,490

总权益
    实收股本152,64438.95%109,858101,200101,200101,770
    储备项目2,476,165-2.40%2,537,0112,069,4611,756,0841,525,756
股东权益2,628,808-0.68%2,646,8692,170,6611,857,2841,627,526
非控股权益0-100.00%620(479)(961)679