300240 飞力达
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3,5000.34%3,4884,0171,3637,444
投资性房地产119,172-1.27%120,710126,993133,276135,008
固定资产435,126-2.55%446,491475,147522,151494,341
在建工程307,59814.07%269,652143,07117,20525,187
无形资产250,546-1.38%254,040265,825266,614160,544
商誉19,8330.00%19,83322,41725,11518,254
其他非流动资产598,6035.47%567,573577,800626,561677,539
1,734,3783.13%1,681,7871,615,2691,592,2851,518,316

流动资产
货币资金808,4486.99%755,615663,488533,485697,319
应收账款1,189,413-11.40%1,342,5191,207,5841,138,635953,805
存货96,143-6.50%102,826111,59375,188105,937
其他流动资产301,544-7.98%327,698359,977496,293424,863
2,395,548-5.26%2,528,6572,342,6422,243,6002,181,924

流动负债
短期借款872,00013.70%766,945912,810785,302645,686
应付票据4,743227.10%1,450000
应付帐款757,239-17.83%921,542607,109636,501593,280
其他流动负债324,558-4.44%339,634364,882348,013342,763
1,958,541-3.50%2,029,5701,884,8011,769,8171,581,729
流动资产净值437,007-12.44%499,087457,841473,783600,195
资产总额减流动负债2,171,385-0.44%2,180,8742,073,1102,066,0682,118,511

非流动负债
长期借款305,5998.44%281,805196,987112,948116,559
应付债券0--0000
其他非流动负债176,424-15.28%208,252184,239215,434286,757
482,024-1.64%490,057381,226328,382403,316

总权益
    实收股本371,5630.00%371,563371,563370,770369,397
    储备项目1,057,853-0.02%1,058,0551,062,9991,104,7141,102,138
股东权益1,429,416-0.01%1,429,6181,434,5621,475,4841,471,535
非控股权益259,946-0.48%261,199257,322262,202243,659