300199 翰宇药业
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1,960-17.51%2,376000
投资性房地产241,924-0.73%243,709244,971153,34965,953
固定资产1,613,061-1.43%1,636,4541,666,5981,784,9551,281,730
在建工程39,4246.25%37,10567,317153,995699,744
无形资产286,487-2.36%293,415222,495265,046263,560
商誉0--000191
其他非流动资产360,5718.57%332,118392,175441,563440,139
2,543,427-0.07%2,545,1782,593,5552,798,9092,751,317

流动资产
货币资金58,442-38.39%94,865344,007106,263138,923
应收账款166,56373.91%95,774142,349311,039270,977
存货225,749-5.40%238,630152,594189,959157,139
其他流动资产43,86529.86%33,77944,689205,064588,034
494,6196.82%463,048683,638812,3251,155,073

流动负债
短期借款634,616-0.69%638,994617,205315,923338,226
应付票据0--0000
应付帐款231,8046.21%218,259108,496129,05490,727
其他流动负债725,57927.90%567,299697,738702,980314,863
1,591,99911.75%1,424,5531,423,4391,147,957743,816
流动资产净值(1,097,380)14.13%(961,505)(739,801)(335,632)411,258
资产总额减流动负债1,446,047-8.69%1,583,6721,853,7552,463,2763,162,575

非流动负债
长期借款356,219-36.77%563,327641,8471,022,9541,072,274
应付债券298,0240.09%297,749296,7070300,994
其他非流动负债125,418-0.11%125,550131,990143,381141,334
779,661-20.98%986,6261,070,5431,166,3351,514,603

总权益
    实收股本883,2410.00%883,241883,241916,927916,927
    储备项目(234,846)-22.90%(304,614)(124,438)353,710667,734
股东权益648,39612.06%578,627758,8041,270,6371,584,661
非控股权益17,990-2.33%18,42024,40826,30563,311