300147 香雪制药
2024/09 - 九个月
人民币(K¥)
与去年末期
比较
2023/12
人民幣(K¥)
2022/12
人民幣(K¥)
2021/12
人民幣(K¥)
2020/12
人民幣(K¥)

非流动资产
长期股权投资33,919-22.39%43,706335,698114,795129,064
投资性房地产0--00248,528222,112
固定资产3,249,372-3.56%3,369,3543,600,9243,623,7351,946,304
在建工程1,170,918-3.58%1,214,4291,180,0531,635,3163,064,835
无形资产851,894-7.33%919,283964,0951,034,3141,084,256
商誉199,7200.00%199,720199,720266,597626,610
其他非流动资产690,727-2.69%709,793668,344679,869978,001
6,196,551-4.02%6,456,2866,948,8347,603,1558,051,183

流动资产
货币资金75,596-49.37%149,317166,503196,122605,210
应收账款851,56620.80%704,939599,9871,096,7181,039,040
存货420,9802.35%411,298467,075761,464839,810
其他流动资产509,412-8.84%558,790459,6221,031,6981,551,638
1,857,5541.82%1,824,3441,693,1873,086,0024,035,697

流动负债
短期借款1,443,123-3.67%1,498,0771,926,0832,466,2992,881,304
应付票据258-89.60%2,48117,9469,689125,077
应付帐款1,173,2868.16%1,084,760971,0001,290,135675,924
其他流动负债2,539,880-1.42%2,576,3632,318,1082,588,1953,121,312
5,156,548-0.10%5,161,6825,233,1366,354,3176,803,616
流动资产净值(3,298,994)-1.15%(3,337,338)(3,539,949)(3,268,315)(2,767,919)
资产总额减流动负债2,897,557-7.10%3,118,9483,408,8854,334,8405,283,264

非流动负债
长期借款578,4904.04%556,000426,931528,923725,719
应付债券0--000221,196
其他非流动负债202,385-18.96%249,731261,953149,593200,515
780,874-3.09%805,731688,884678,5161,147,430

总权益
    实收股本661,2790.00%661,279661,279661,361661,476
    储备项目1,045,560-17.24%1,263,4231,645,5012,182,7372,837,859
股东权益1,706,839-11.32%1,924,7022,306,7802,844,0983,499,335
非控股权益409,8445.49%388,516413,221812,226636,498