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300347 泰格醫藥
按盤價 跌57.360 -1.960 (-3.304%)
2024/09 - 九個月
人民幣(K¥)
與去年末期
比較
2023/12
人民幣(K¥)
2022/12
人民幣(K¥)
2021/12
人民幣(K¥)
2020/12
人民幣(K¥)

非流動資產
長期股權投資3,515,28018.08%2,977,0281,799,825738,79960,270
投資性房地產0--0000
固定資產584,711-8.46%638,751565,585437,992300,363
在建工程516,62159.31%324,278186,277217,14154,839
無形資產325,329-12.34%371,130338,118250,635141,755
商譽2,810,0831.66%2,764,1882,485,0171,778,9471,444,518
其他非流動資產15,977,04741.88%11,261,22610,964,4419,465,8565,858,343
23,729,07129.41%18,336,60116,339,26212,889,3717,860,088

流動資產
貨幣資金1,967,633-73.48%7,419,9927,858,1408,544,35610,123,891
應收賬款1,241,245-1.54%1,260,7001,027,789809,127490,924
存貨22,196-5.14%23,39822,2046,0954,721
其他流動資產3,316,44725.62%2,640,0512,199,1151,492,2231,026,433
6,547,521-42.28%11,344,14111,107,24810,851,80111,645,970

流動負債
短期借款3,010,43552.84%1,969,6941,848,658492,3200
應付票據1,598--0022,1180
應付帳款228,331-8.41%249,308157,958125,749101,295
其他流動負債1,554,894-19.00%1,919,7351,722,9511,772,5281,038,044
4,795,25815.86%4,138,7363,729,5672,412,7141,139,339
流動資產淨值1,752,263-75.68%7,205,4057,377,6818,439,08610,506,631
資產總額減流動負債25,481,334-0.24%25,542,00623,716,94421,328,45718,366,719

非流動負債
長期借款397,237-8.52%434,223244,64100
應付債券0--0000
其他非流動負債665,2981.69%654,221791,272723,260508,245
1,062,535-2.38%1,088,4441,035,913723,260508,245

總權益
    實收股本864,949-0.86%872,418872,418872,438872,484
    儲備項目20,200,0180.23%20,154,35718,710,60417,251,18815,246,085
股東權益21,064,9670.18%21,026,77519,583,02218,123,62616,118,568
非控股權益3,353,832-2.13%3,426,7873,098,0092,481,5711,739,906
備註: 報價延遲最少15分鐘,資料更新時間為 25/12/2024 16:30
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