600196 复星医药
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24,945,6734.29%23,919,39923,144,77122,683,71322,309,469
投资性房地产0--0000
固定资产14,923,836-1.36%15,129,37110,267,8598,919,0588,135,623
在建工程4,666,716-5.50%4,938,2814,896,6973,617,7054,121,543
无形资产13,031,835-3.34%13,482,01612,471,05710,276,2548,669,588
商誉10,800,669-0.47%10,851,99910,337,0539,399,9878,677,249
其他非流动资产12,368,7338.92%11,355,96910,767,2927,972,6976,687,734
80,737,4621.33%79,677,03671,884,72962,869,41558,601,207

流动资产
货币资金13,507,968-1.36%13,693,59116,241,31310,317,2249,961,802
应收账款8,415,90110.10%7,643,7367,588,0996,029,7204,564,660
存货7,435,227-1.36%7,537,7686,882,4325,472,5475,162,800
其他流动资产5,168,2045.10%4,917,4744,567,3338,617,4165,395,542
34,527,2992.17%33,792,56935,279,17830,436,90725,084,803

流动负债
短期借款18,679,64026.83%14,728,45411,931,5379,420,1297,915,983
应付票据816,47425.18%652,252857,879548,388346,930
应付帐款5,525,5830.33%5,507,3665,426,1624,515,3052,942,091
其他流动负债12,495,885-2.90%12,869,51115,082,49114,834,65013,667,349
37,517,58211.14%33,757,58433,298,06929,318,47324,872,353
流动资产净值(2,990,283)-8,647.33%34,9851,981,1091,118,435212,450
资产总额减流动负债77,747,180-2.46%79,712,02173,865,83863,987,84958,813,657

非流动负债
长期借款8,630,184-36.10%13,504,92311,600,4376,694,1837,145,885
应付债券240,000--0499,4312,354,8861,329,801
其他非流动负债9,682,3920.95%9,590,8387,657,0606,559,2124,353,689
18,552,575-19.67%23,095,76119,756,92815,608,28112,829,375

总权益
    实收股本2,671,326-0.04%2,672,3992,672,1572,562,8992,562,899
    储备项目44,630,1473.76%43,012,36341,910,30136,632,66034,432,635
股东权益47,301,4733.54%45,684,76244,582,45839,195,55836,995,533
非控股权益11,893,1318.80%10,931,4999,526,4529,184,0108,988,749