300190 维尔利
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495,383-3.56%513,655513,074490,238438,549
投资性房地产18,681-3.45%19,34920,68400
固定资产886,5202.49%865,007910,6631,035,802720,999
在建工程19,934-7.11%21,46036,69474,216354,689
无形资产1,285,915-2.85%1,323,5931,689,1122,086,7852,134,047
商誉335,0610.00%335,061457,670751,496800,394
其他非流动资产361,0891.62%355,347357,424316,175221,324
3,402,584-0.90%3,433,4743,985,3224,754,7124,670,002

流动资产
货币资金374,122-49.15%735,704669,203644,053922,536
应收账款1,413,432-6.98%1,519,4511,667,9131,643,3921,463,481
存货332,6813.58%321,172448,353706,776817,772
其他流动资产594,272-3.49%615,747866,7111,331,8452,032,160
2,714,507-14.96%3,192,0743,652,1814,326,0665,235,949

流动负债
短期借款987,926-7.99%1,073,7641,019,2121,292,7991,415,517
应付票据35,988-31.19%52,30154,139125,370330,853
应付帐款738,689-14.83%867,2951,065,5031,175,4751,197,333
其他流动负债484,369-62.43%1,289,3561,051,933773,229869,436
2,246,972-31.55%3,282,7163,190,7873,366,8743,813,139
流动资产净值467,536-615.80%(90,643)461,394959,1921,422,810
资产总额减流动负债3,870,12015.77%3,342,8314,446,7155,713,9036,092,813

非流动负债
长期借款395,8725.62%374,821372,517813,011919,839
应付债券0--0907,979879,100846,294
其他非流动负债230,137-2.94%237,117278,984326,722360,856
626,0092.30%611,9371,559,4802,018,8332,126,989

总权益
    实收股本948,08916.21%815,850781,598781,589781,589
    储备项目2,186,38620.22%1,818,7201,991,1142,788,7033,057,354
股东权益3,134,47518.97%2,634,5702,772,7123,570,2923,838,943
非控股权益109,63513.82%96,323114,524124,779126,881