300347 泰格医药
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4,092,97619.52%3,424,6032,977,0281,799,825738,799
投资性房地产16,125--0000
固定资产741,253-4.78%778,498638,751565,585437,992
在建工程478,39013.76%420,535324,278186,277217,141
无形资产282,092-16.26%336,877371,130338,118250,635
商誉3,512,1948.81%3,227,7622,764,1882,485,0171,778,947
其他非流动资产13,310,622-6.15%14,183,05411,261,22610,964,4419,465,856
22,433,6510.28%22,371,33118,336,60116,339,26212,889,371

流动资产
货币资金1,648,150-19.81%2,055,3457,419,9927,858,1408,544,356
应收账款1,427,1674.96%1,359,7581,260,7001,027,789809,127
存货43,94337.51%31,95623,39822,2046,095
其他流动资产3,231,34113.28%2,852,6262,640,0512,199,1151,492,223
6,350,6010.81%6,299,68511,344,14111,107,24810,851,801

流动负债
短期借款601,815-68.52%1,912,0171,969,6941,848,658492,320
应付票据5,889--00022,118
应付帐款337,93131.34%257,287249,308157,958125,749
其他流动负债1,992,21833.48%1,492,5481,919,7351,722,9511,772,528
2,937,853-19.77%3,661,8524,138,7363,729,5672,412,714
流动资产净值3,412,74829.38%2,637,8337,205,4057,377,6818,439,086
资产总额减流动负债25,846,3993.35%25,009,16325,542,00623,716,94421,328,457

非流动负债
长期借款526,62962.72%323,650434,223244,6410
应付债券51,041--0000
其他非流动负债561,135-9.65%621,035654,221791,272723,260
1,138,80520.55%944,6841,088,4441,035,913723,260

总权益
    实收股本861,026-0.45%864,949872,418872,418872,438
    储备项目20,315,3132.57%19,805,70520,154,35718,710,60417,251,188
股东权益21,176,3392.45%20,670,65321,026,77519,583,02218,123,626
非控股权益3,531,2554.05%3,393,8263,426,7873,098,0092,481,571