000950 重药控股
2024/09 - 九个月
人民币(K¥)
与去年末期
比较
2023/12
人民幣(K¥)
2022/12
人民幣(K¥)
2021/12
人民幣(K¥)
2020/12
人民幣(K¥)

非流动资产
长期股权投资3,161,7902.53%3,083,6362,968,7512,761,5112,310,022
投资性房地产184,288-3.79%191,548172,513177,136176,446
固定资产2,129,792-1.80%2,168,8352,085,1931,676,3761,383,883
在建工程40,5052,201.42%1,760169,585474,578465,865
无形资产331,3893.56%320,007263,572262,317293,784
商誉1,501,3200.00%1,501,3201,508,6191,460,6741,456,147
其他非流动资产1,661,098-1.12%1,679,8741,314,9891,549,9631,250,426
9,010,1810.71%8,946,9808,483,2228,362,5557,336,573

流动资产
货币资金6,698,517-26.78%9,148,8087,422,1835,664,6814,604,968
应收账款35,542,9448.03%32,900,52428,480,85925,984,07821,724,721
存货10,040,17726.70%7,924,6207,862,5366,050,8045,652,749
其他流动资产5,312,48815.42%4,602,7484,942,8493,637,9623,113,455
57,594,1265.53%54,576,70048,708,42641,337,52635,095,893

流动负债
短期借款14,055,9231.37%13,866,47014,772,10711,972,4109,316,046
应付票据3,845,125-4.55%4,028,4492,756,3592,733,3852,437,110
应付帐款15,422,83415.02%13,408,72511,004,1989,392,6368,537,222
其他流动负债11,342,482-1.85%11,556,78512,141,5627,625,6506,871,582
44,666,3644.21%42,860,42840,674,22631,724,08127,161,961
流动资产净值12,927,76210.34%11,716,2728,034,2009,613,4457,933,932
资产总额减流动负债21,937,9436.17%20,663,25216,517,42217,976,00015,270,505

非流动负债
长期借款3,461,97121.56%2,847,8391,499,5714,607,7143,403,481
应付债券1,998,83033.40%1,498,4091,598,984799,700608,256
其他非流动负债892,73210.26%809,639708,475802,043778,188
6,353,53323.23%5,155,8873,807,0306,209,4574,789,924

总权益
    实收股本1,728,1850.00%1,728,1851,743,3671,743,3671,728,185
    储备项目9,708,0612.00%9,517,6778,908,3068,077,6057,107,521
股东权益11,436,2461.69%11,245,86110,651,6749,820,9728,835,705
非控股权益4,148,164-2.66%4,261,5032,058,7181,945,5711,644,875