002788 鹭燕医药
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55,19214.71%48,11343,55333,90731,000
投资性房地产20,936-3.76%21,75523,77824,6834,920
固定资产1,354,7572.58%1,320,678917,097819,300807,247
在建工程532,84113.01%471,482616,586509,065139,742
无形资产354,568-1.81%361,088355,164176,934167,810
商誉289,2820.00%289,282288,651289,451289,451
其他非流动资产254,967-0.47%256,169230,192182,216230,237
2,862,5423.39%2,768,5682,475,0212,035,5551,670,406

流动资产
货币资金459,179-20.40%576,850606,303594,190415,434
应收账款6,544,03610.89%5,901,6065,637,0745,837,0795,062,496
存货2,749,388-4.03%2,864,7562,574,0762,548,5892,274,989
其他流动资产427,140-18.92%526,816501,121768,382569,369
10,179,7443.14%9,870,0289,318,5749,748,2418,322,289

流动负债
短期借款4,037,3454.20%3,874,6743,990,1564,455,2704,130,445
应付票据1,816,78610.67%1,641,5861,113,807987,770604,304
应付帐款2,487,3915.31%2,362,0022,330,6622,270,4041,806,196
其他流动负债921,02826.66%727,183591,534587,567474,285
9,262,5507.64%8,605,4458,026,1588,301,0107,015,230
流动资产净值917,194-27.47%1,264,5831,292,4161,447,2311,307,059
资产总额减流动负债3,779,736-6.28%4,033,1503,767,4373,482,7862,977,466

非流动负债
长期借款344,351-46.89%648,409578,629471,764223,485
应付债券0--0000
其他非流动负债171,607-11.01%192,836211,867220,373193,851
515,958-38.67%841,244790,496692,137417,336

总权益
    实收股本388,5170.00%388,517388,517388,517388,517
    储备项目2,851,5362.81%2,773,7172,557,7422,332,2962,103,148
股东权益3,240,0522.46%3,162,2342,946,2582,720,8132,491,664
非控股权益23,725-20.04%29,67230,68269,83668,465