002798 帝欧水华
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0--0000
投资性房地产280,7974.05%269,866344,6057,72417,221
固定资产1,487,243-3.34%1,538,6331,743,1131,987,3612,142,816
在建工程3,14922.53%2,57025,9643,54155,679
无形资产535,196-2.76%550,361578,967696,712717,315
商誉0--000223,588
其他非流动资产636,748-5.32%672,514682,988664,057542,894
2,943,134-2.99%3,033,9443,375,6373,359,3943,699,513

流动资产
货币资金632,96710.44%573,110545,689711,726905,301
应收账款414,585-3.15%428,061722,0691,343,8602,043,203
存货537,044-1.59%545,719680,729728,776773,178
其他流动资产378,963-2.94%390,440568,590443,850479,759
1,963,5591.35%1,937,3292,517,0763,228,2124,201,441

流动负债
短期借款816,1743.72%786,883893,913798,9341,095,565
应付票据242,101-29.93%345,529483,219582,765887,126
应付帐款269,11315.91%232,170284,137442,184459,834
其他流动负债665,538-4.37%695,974884,291691,624677,481
1,992,926-3.28%2,060,5562,545,5602,515,5063,120,005
流动资产净值(29,367)-76.17%(123,227)(28,484)712,7061,081,436
资产总额减流动负债2,913,7670.10%2,910,7173,347,1524,072,1004,780,949

非流动负债
长期借款186,22413.40%164,22469,268274,874431,293
应付债券690,800-20.86%872,8411,424,2151,388,7021,304,007
其他非流动负债184,667-10.82%207,081222,971229,966208,368
1,061,691-14.67%1,244,1471,716,4541,893,5421,943,668

总权益
    实收股本550,1787.17%513,349394,194384,977384,970
    储备项目1,300,77412.82%1,152,9281,236,5041,795,7072,453,752
股东权益1,850,95111.08%1,666,2771,630,6982,180,6842,838,722
非控股权益1,125283.96%2930(2,126)(1,441)