002099 海翔药业
2025/09 - 九个月
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143,543-2.56%147,308166,672183,440204,423
投资性房地产4,700-15.30%5,5496,6807,8128,944
固定资产2,320,205-2.67%2,383,9472,641,2712,629,9752,287,069
在建工程490,728-13.08%564,582372,911449,122670,808
无形资产508,076-2.37%520,433520,796555,762490,128
商誉394,8400.00%394,840603,314711,006757,737
其他非流动资产535,817-2.34%548,635582,714610,292163,912
4,397,908-3.67%4,565,2934,894,3585,147,4094,583,020

流动资产
货币资金1,450,531-4.38%1,517,0141,420,5711,490,8161,827,930
应收账款428,0162.23%418,667424,703498,878489,163
存货895,97512.04%799,714702,2711,102,442907,969
其他流动资产105,215-32.27%155,35678,190153,554211,862
2,879,737-0.38%2,890,7512,625,7353,245,6903,436,923

流动负债
短期借款1,258,0132.96%1,221,8851,028,833832,461570,583
应付票据228,162-18.87%281,22435,858350,261546,546
应付帐款481,463-17.11%580,871567,481644,781482,213
其他流动负债112,287-22.19%144,314174,656143,174133,348
2,079,924-6.66%2,228,2941,806,8281,970,6771,732,690
流动资产净值799,81320.73%662,457818,9061,275,0141,704,233
资产总额减流动负债5,197,721-0.57%5,227,7505,713,2656,422,4236,287,253

非流动负债
长期借款0--00148,1360
应付债券0--0000
其他非流动负债86,947-9.35%95,919111,544169,372173,631
86,947-9.35%95,919111,544317,508173,631

总权益
    实收股本1,618,7150.00%1,618,7151,618,7151,618,7151,618,715
    储备项目3,501,553-0.53%3,520,3563,987,6374,489,2634,496,285
股东权益5,120,268-0.37%5,139,0725,606,3526,107,9796,115,001
非控股权益(9,494)31.11%(7,241)(4,632)(3,064)(1,378)