000028 国药一致
2025/06 - 中期
人民币(K¥)
与去年末期
比较
2024/12
人民幣(K¥)
2023/12
人民幣(K¥)
2022/12
人民幣(K¥)
2021/12
人民幣(K¥)

非流动资产
长期股权投资3,050,0683.57%2,944,8342,746,9852,578,9692,459,833
投资性房地产84,169-1.34%85,312112,474109,214113,981
固定资产819,707-5.80%870,189866,236850,112868,626
在建工程14,84117.75%12,60435,43735,16949,850
无形资产463,334-3.38%479,544615,588647,516669,927
商誉1,858,8370.00%1,858,8372,746,6842,749,9102,775,646
其他非流动资产3,272,434-12.22%3,728,1464,077,6353,936,6243,997,405
9,563,390-4.17%9,979,46511,201,04010,907,51410,935,267

流动资产
货币资金6,797,308-8.25%7,408,5406,502,3486,016,3505,126,159
应收账款23,747,15722.55%19,376,75218,160,33113,764,77615,964,603
存货8,064,3628.89%7,406,1597,989,0017,835,9747,621,542
其他流动资产2,253,919-33.41%3,384,9453,718,3754,091,1473,136,112
40,862,7468.75%37,576,39636,370,05531,708,24631,848,416

流动负债
短期借款4,338,72243.81%3,016,9032,612,6741,260,5151,930,467
应付票据8,021,130-6.09%8,541,0708,378,5017,024,8257,660,217
应付帐款11,809,66423.55%9,558,9709,573,5518,208,1749,057,719
其他流动负债3,293,871-10.63%3,685,4643,773,4984,534,0853,730,615
27,463,38710.73%24,802,40724,338,22421,027,59922,379,018
流动资产净值13,399,3594.90%12,773,98912,031,83010,680,6479,469,397
资产总额减流动负债22,962,7490.92%22,753,45323,232,87121,588,16220,404,664

非流动负债
长期借款0--0017,50071,637
应付债券0--0000
其他非流动负债1,712,327-14.30%1,998,0542,255,0302,125,9552,310,815
1,712,327-14.30%1,998,0542,255,0302,143,4552,382,452

总权益
    实收股本556,5650.00%556,565556,565428,127428,127
    储备项目17,579,6072.73%17,112,96316,858,24415,697,76314,496,811
股东权益18,136,1722.64%17,669,52817,414,80916,125,89014,924,938
非控股权益3,114,2500.92%3,085,8713,563,0323,318,8163,097,275