603108 润达医疗
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1,233,7275.25%1,172,1341,100,2571,108,514884,742
投资性房地产0--0000
固定资产1,025,907-3.17%1,059,475962,094975,895911,084
在建工程5,918-68.37%18,71041,43319,30621,156
无形资产78,8052.82%76,64569,45967,71060,726
商誉2,011,8080.00%2,011,8081,987,6411,897,6561,793,900
其他非流动资产550,608-4.63%577,320538,820505,261277,617
4,906,773-0.19%4,916,0924,699,7054,574,3443,949,226

流动资产
货币资金1,122,8075.13%1,068,0611,007,0521,023,536834,880
应收账款5,381,976-2.85%5,539,6095,920,8123,711,0873,008,801
存货1,456,8975.81%1,376,9531,615,9321,502,4381,153,715
其他流动资产1,492,7115.92%1,409,2771,275,3601,205,1401,229,925
9,454,3920.64%9,393,9019,819,1587,442,2006,227,322

流动负债
短期借款5,140,9239.11%4,711,6945,214,9064,203,4793,758,172
应付票据0-100.00%108,000151,32850,085180,063
应付帐款1,269,074-9.27%1,398,6851,684,8761,113,392757,614
其他流动负债1,526,17616.54%1,309,5881,457,680815,171847,736
7,936,1735.42%7,527,9678,508,7906,182,1265,543,585
流动资产净值1,518,218-18.63%1,865,9341,310,3681,260,074683,737
资产总额减流动负债6,424,992-5.26%6,782,0266,010,0725,834,4184,632,962

非流动负债
长期借款443,166-11.47%500,577337,506448,19939,604
应付债券280,737-53.37%602,046486,070771,879440,533
其他非流动负债195,137-15.94%232,151176,646222,30072,590
919,040-31.15%1,334,7741,000,2221,442,378552,727

总权益
    实收股本598,8760.28%597,204579,543579,538579,536
    储备项目3,692,6180.26%3,682,9013,308,8712,883,1962,623,852
股东权益4,291,4940.27%4,280,1053,888,4143,462,7343,203,388
非控股权益1,214,4574.05%1,167,1481,121,436929,305876,848