002287 奇正藏药
2025/03 -
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56,123-2.74%57,70561,006489,954544,861
投资性房地产6,696-54.11%14,59113,39222,41517,196
固定资产1,373,433-1.41%1,393,0691,330,143599,585598,442
在建工程298,0521.19%294,559302,750533,083212,044
无形资产318,746-2.08%325,505351,618374,807399,326
商誉0--0000
其他非流动资产588,0096.78%550,6921,045,203675,835859,487
2,641,0590.19%2,636,1203,104,1112,695,6802,631,356

流动资产
货币资金523,090175.90%189,591403,434437,571666,634
应收账款190,229101.29%94,50675,804102,41830,477
存货219,35718.36%185,328156,333127,774118,504
其他流动资产3,141,017-14.76%3,684,8752,558,7962,524,6512,120,782
4,073,692-1.94%4,154,3003,194,3673,192,4152,936,398

流动负债
短期借款911,48012.11%813,008451,518701,726501,809
应付票据43,364-24.93%57,76410,63129,942103,676
应付帐款189,9076.88%177,677255,60363,53080,328
其他流动负债443,112-28.09%616,166527,465564,931622,167
1,587,863-4.61%1,664,6141,245,2171,360,1291,307,979
流动资产净值2,485,829-0.15%2,489,6861,949,1501,832,2861,628,418
资产总额减流动负债5,126,8880.02%5,125,8065,053,2614,527,9664,259,775

非流动负债
长期借款0--0281,288186,888132,300
应付债券806,5171.09%797,796779,988742,581704,183
其他非流动负债251,31617.06%214,697221,842210,945202,909
1,057,8334.48%1,012,4941,283,1171,140,4141,039,392

总权益
    实收股本531,0860.00%531,086530,193530,224530,297
    储备项目3,489,583-1.24%3,533,2893,190,1362,805,6882,638,734
股东权益4,020,669-1.08%4,064,3753,720,3293,335,9123,169,031
非控股权益48,386-1.13%48,93849,81551,64051,352