300265 通光线缆
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30,800-0.56%30,97530,05237,39036,975
投资性房地产323-7.71%3504565620
固定资产932,077-2.10%952,031829,331676,074417,727
在建工程4,75266.91%2,847140,972174,551194,309
无形资产145,534-1.39%147,583138,415143,166134,678
商誉22,2330.00%22,23322,23322,23326,618
其他非流动资产180,310-5.00%189,797132,46098,151101,489
1,316,029-2.21%1,345,8151,293,9191,152,127911,797

流动资产
货币资金346,668-23.59%453,700451,854681,220363,687
应收账款1,175,022-0.76%1,184,0791,206,8411,090,7811,066,243
存货383,94763.40%234,979230,635287,942267,607
其他流动资产204,061-21.50%259,942273,820297,762217,262
2,109,697-1.08%2,132,7012,163,1502,357,7051,914,799

流动负债
短期借款430,3306.40%404,464421,594283,089619,880
应付票据62,102-36.40%97,646126,90198,988105,190
应付帐款384,5271.22%379,880350,425340,231358,878
其他流动负债110,131-27.01%150,877257,100178,271117,739
987,091-4.43%1,032,8681,156,020900,5791,201,687
流动资产净值1,122,6062.07%1,099,8331,007,1301,457,126713,112
资产总额减流动负债2,438,634-0.29%2,445,6482,301,0492,609,2531,624,909

非流动负债
长期借款427-36.36%6711,6342,43899,538
应付债券0--0074,01871,286
其他非流动负债48,960-1.76%49,83629,97830,33123,004
49,387-2.22%50,50731,612106,788193,829

总权益
    实收股本467,6010.00%467,601458,291458,286364,978
    储备项目1,886,391-0.37%1,893,4561,778,9121,925,0241,026,179
股东权益2,353,992-0.30%2,361,0582,237,2032,383,3101,391,158
非控股权益35,2553.44%34,08332,233119,15539,922