002728 特一药业
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0--0000
投资性房地产8,777-3.99%9,1429,62810,1146,085
固定资产532,613-5.48%563,513524,539367,137403,229
在建工程196,97024.76%157,882131,949280,877198,456
无形资产135,804-2.04%138,632151,243153,871156,747
商誉517,6010.00%517,601529,228542,395542,395
其他非流动资产64,9652.86%63,15960,89762,34347,336
1,456,7290.47%1,449,9291,407,4841,416,7371,354,247

流动资产
货币资金215,398-52.91%457,414647,247739,660372,470
应收账款72,794-26.28%98,74697,80893,47076,987
存货259,602-1.81%264,378271,832208,227195,314
其他流动资产216,08265.70%130,40988,26687,51067,178
763,877-19.67%950,9471,105,1531,128,867711,950

流动负债
短期借款260,000-49.62%516,093306,000633,680377,000
应付票据17,63070.75%10,32541,15113,1998,389
应付帐款50,01544.96%34,50341,85263,09343,957
其他流动负债52,78750.40%35,09776,763399,27466,996
380,432-36.17%596,019465,7651,109,246496,342
流动资产净值383,4458.03%354,928639,38819,621215,608
资产总额减流动负债1,840,1741.96%1,804,8572,046,8711,436,3591,569,854

非流动负债
长期借款0--0000
应付债券0--000285,179
其他非流动负债37,239-6.73%39,92436,18933,21922,986
37,239-6.73%39,92436,18933,219308,164

总权益
    实收股本513,0020.15%512,210364,687229,177221,644
    储备项目1,289,9332.97%1,252,7231,645,9951,173,9621,040,046
股东权益1,802,9352.15%1,764,9332,010,6821,403,1391,261,690
非控股权益0--0000