中广核技
            
                (000881)
        
        
        
        
            
                | 流通市值:69.68亿 |   |   | 总市值:78.28亿 | 
| 流通股本:8.42亿  |   |   | 总股本:9.45亿  | 
            
        
        
     
 
  
  
    
        
    
     
      
      
        | 报告期 | 2025-09-30 | 2025-06-30 | 2025-03-31 | 2024-12-31 | 
| 公司类型 | 通用 | 通用 | 通用 | 通用 | 
| 流动资产: |  |  |  |  | 
|   货币资金 | 1,543,578,957.99 | 1,479,872,289.49 | 1,444,595,152.03 | 1,490,786,138.55 | 
|   应收票据及应收账款 | 2,519,661,889.86 | 2,619,488,687.88 | 2,589,298,795.86 | 2,846,374,498.29 | 
|   其中:应收票据 | 505,025,455.74 | 499,578,129.18 | 590,307,902.96 | 661,008,081.48 | 
|         应收账款 | 2,014,636,434.12 | 2,119,910,558.7 | 1,998,990,892.9 | 2,185,366,416.81 | 
|   应收款项融资 | 397,869,190.28 | 323,513,447 | 272,137,307.22 | 309,756,729.6 | 
|   预付款项 | 292,692,080.67 | 354,530,417.35 | 369,217,790.79 | 259,988,604.53 | 
|   其他应收款合计 | 110,084,792.63 | 110,266,215.38 | 120,377,899.64 | 115,887,428.88 | 
|   存货 | 1,166,010,667.72 | 1,155,762,379.95 | 1,157,707,047.69 | 1,077,521,780.98 | 
|   合同资产 | 93,397,762.32 | 82,147,321.04 | 74,507,716.57 | 76,976,717.07 | 
|   一年内到期的非流动资产 | - | 338,565.82 | 338,565.82 | 338,565.82 | 
|   其他流动资产 | 123,621,700.74 | 119,127,998.35 | 94,932,209.84 | 111,117,974.83 | 
|   流动资产合计 | 6,246,917,042.21 | 6,245,047,322.26 | 6,123,112,485.46 | 6,288,748,438.55 | 
| 非流动资产: |  |  |  |  | 
|   长期股权投资 | 11,903,078.49 | 11,966,252.23 | 12,083,642.39 | 12,271,027.06 | 
|   其他权益工具投资 | 2,500,000 | 2,500,000 | 2,500,000 | 2,500,000 | 
|   投资性房地产 | 633,957.32 | 688,876.02 | 743,794.73 | 798,713.43 | 
|   固定资产 | 2,047,106,234.36 | 2,054,257,740.94 | 2,080,561,018.08 | 2,091,820,182.28 | 
|   在建工程 | 245,348,386 | 247,845,560.81 | 201,166,872.91 | 196,334,291.88 | 
|   使用权资产 | 217,823,187.36 | 230,318,313.27 | 221,148,213.57 | 220,554,106.67 | 
|   无形资产 | 1,072,144,595.09 | 1,083,066,939.73 | 1,087,274,825.5 | 1,109,920,914.84 | 
|   开发支出 | 204,723,971.22 | 195,329,766.02 | 198,371,592.92 | 183,728,674.23 | 
|   商誉 | 307,165,818.06 | 307,165,818.06 | 307,165,818.06 | 307,165,818.06 | 
|   长期待摊费用 | 129,777,701.77 | 121,103,849.37 | 117,372,100.17 | 117,593,686.08 | 
|   递延所得税资产 | 31,960,630.85 | 31,856,649.61 | 31,663,275.3 | 31,472,554.55 | 
|   其他非流动资产 | 165,375,704.55 | 157,853,542.36 | 148,372,296.08 | 139,355,076.27 | 
|   非流动资产合计 | 4,436,463,265.07 | 4,443,953,308.42 | 4,408,423,449.71 | 4,413,515,045.35 | 
|   资产总计 | 10,683,380,307.28 | 10,689,000,630.68 | 10,531,535,935.17 | 10,702,263,483.9 | 
| 流动负债: |  |  |  |  | 
|   短期借款 | 1,854,411,633.36 | 1,720,246,703.58 | 1,523,354,808.8 | 1,421,274,006.42 | 
|   应付票据及应付账款 | 986,418,251.39 | 1,076,438,878.93 | 1,085,637,786.93 | 1,288,458,400.67 | 
|   其中:应付票据 | 207,019,577.44 | 253,950,463.57 | 341,451,111.27 | 379,110,117.11 | 
|         应付账款 | 779,398,673.95 | 822,488,415.36 | 744,186,675.66 | 909,348,283.56 | 
|   合同负债 | 308,774,676.69 | 329,111,165.34 | 311,025,766.58 | 216,482,696.24 | 
|   应付职工薪酬 | 55,592,788.44 | 57,929,714.31 | 80,707,878.33 | 121,565,677.44 | 
|   应交税费 | 20,437,361.59 | 18,913,133.96 | 12,657,839.09 | 34,778,017.14 | 
|   其他应付款合计 | 34,526,370.58 | 42,673,795.89 | 47,737,256.01 | 67,193,398.11 | 
|         应付股利 | 1,371,654.85 | 1,371,654.85 | 1,371,654.85 | 1,371,654.85 | 
|   一年内到期的非流动负债 | 553,404,770.99 | 234,021,320.93 | 201,167,871.34 | 143,298,478.21 | 
|   其他流动负债 | 10,248,006.94 | 6,807,155.45 | - | 7,186,987.19 | 
|   流动负债合计 | 3,823,813,859.98 | 3,486,141,868.39 | 3,262,289,207.08 | 3,300,237,661.42 | 
| 非流动负债: |  |  |  |  | 
|   长期借款 | 536,319,006.79 | 1,340,779,653.36 | 1,384,776,500 | 1,449,829,129.98 | 
|   租赁负债 | 152,247,920.52 | 161,776,765.55 | 149,851,059.91 | 147,359,323.25 | 
|   长期应付款 | 21,342,490.01 | 25,171,679.43 | 27,362,803.97 | 29,012,222.39 | 
|   长期应付职工薪酬 | 5,841,660.18 | 5,841,660.18 | 5,770,856.84 | 5,770,856.84 | 
|   预计负债 | 17,473,170.04 | 17,920,336.31 | 16,433,202.33 | 20,282,067.42 | 
|   递延收益 | 188,329,459.34 | 189,867,146.23 | 191,168,499.59 | 192,893,716.48 | 
|   递延所得税负债 | 7,595,512.62 | 9,051,504.73 | 9,939,873.39 | 8,554,427.23 | 
|   非流动负债合计 | 929,149,219.5 | 1,750,408,745.79 | 1,785,302,796.03 | 1,853,701,743.59 | 
|   负债合计 | 4,752,963,079.48 | 5,236,550,614.18 | 5,047,592,003.11 | 5,153,939,405.01 | 
| 所有者权益(或股东权益): |  |  |  |  | 
|   实收资本(或股本) | 945,425,815 | 945,425,815 | 945,425,815 | 945,425,815 | 
|   资本公积 | 3,318,682,058.98 | 3,225,010,216.83 | 3,225,010,216.83 | 3,225,010,216.83 | 
|   其他综合收益 | 60,631,161.98 | 61,828,974.32 | 59,809,413.89 | 58,958,933.65 | 
|   专项储备 | 1,418,366.38 | 1,065,197.04 | 740,469.8 | 361,690.88 | 
|   盈余公积 | 148,846,736.45 | 148,846,736.45 | 148,846,736.45 | 148,846,736.45 | 
|   未分配利润 | 749,682,078.37 | 751,703,542.03 | 786,468,171.3 | 851,518,819.7 | 
|   归属于母公司股东权益合计 | 5,224,686,217.16 | 5,133,880,481.67 | 5,166,300,823.27 | 5,230,122,212.51 | 
|   少数股东权益 | 705,731,010.64 | 318,569,534.83 | 317,643,108.79 | 318,201,866.38 | 
|   股东权益合计 | 5,930,417,227.8 | 5,452,450,016.5 | 5,483,943,932.06 | 5,548,324,078.89 | 
|   负债和股东权益合计 | 10,683,380,307.28 | 10,689,000,630.68 | 10,531,535,935.17 | 10,702,263,483.9 | 
| 公告日期 | 2025-10-31 | 2025-08-29 | 2025-04-29 | 2025-04-29 | 
| 审计意见(境内) |  |  |  | 标准无保留意见 |