002413 雷科防务
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269,011-3.73%279,424269,771246,303147,580
投资性房地产3,070-8.36%3,3503,9094,4685,028
固定资产436,5310.20%435,667472,831469,113359,908
在建工程4,458271.50%1,2001,0361,147142,777
无形资产238,308-7.19%256,782304,555317,399339,616
商誉395,3950.00%395,395395,395645,010952,146
其他非流动资产620,8660.86%615,566536,386581,982680,499
1,967,640-0.99%1,987,3841,983,8852,265,4222,627,554

流动资产
货币资金478,128-27.22%656,933599,786599,025556,414
应收账款1,187,2017.80%1,101,2541,034,5621,043,9521,166,511
存货1,111,37916.63%952,906831,625980,7061,109,177
其他流动资产445,684-3.55%462,072493,723396,711506,126
3,222,3921.55%3,173,1642,959,6963,020,3933,338,228

流动负债
短期借款246,23210.12%223,599187,616337,059480,728
应付票据90,746-10.50%101,39152,78882,068120,895
应付帐款839,223-7.39%906,217702,960601,743575,797
其他流动负债472,867-2.12%483,121378,633249,517347,830
1,649,068-3.81%1,714,3281,321,9971,270,3861,525,250
流动资产净值1,573,3257.85%1,458,8361,637,6991,750,0071,812,978
资产总额减流动负债3,540,9652.75%3,446,2203,621,5844,015,4294,440,532

非流动负债
长期借款79,500--00020,572
应付债券0-100.00%14,89114,46314,02113,544
其他非流动负债148,6815.19%141,342132,166143,886184,995
228,18146.05%156,232146,630157,907219,110

总权益
    实收股本1,319,3410.18%1,316,9901,316,9901,340,3451,342,240
    储备项目1,970,369-0.19%1,974,0752,124,2572,484,5632,832,611
股东权益3,289,710-0.04%3,291,0653,441,2473,824,9084,174,851
非控股权益23,074-2,242.43%(1,077)33,70732,61446,571