600267 海正药业
2024/06 - 中期
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1,433,0982.78%1,394,3841,461,8261,348,3661,137,364
投资性房地产96,789-2.47%99,242106,74884,858103,759
固定资产7,431,470-1.23%7,524,3667,814,6068,165,5298,098,972
在建工程387,205-43.75%688,3891,243,5641,541,0372,270,440
无形资产1,038,044-3.29%1,073,3061,336,9281,419,304734,347
商誉0--001,4211,421
其他非流动资产430,307-9.36%474,768405,189449,7651,165,603
10,816,914-3.89%11,254,45612,368,86013,010,27813,511,907

流动资产
货币资金1,442,198-9.10%1,586,6271,398,7831,295,7502,059,091
应收账款2,044,7076.66%1,917,0932,455,2092,092,9211,632,183
存货1,754,733-10.33%1,956,8741,914,1362,022,8812,564,840
其他流动资产866,988-3.48%898,232641,002952,4321,091,752
6,108,626-3.93%6,358,8266,409,1306,363,9857,347,865

流动负债
短期借款2,651,07222.90%2,157,0582,399,4083,988,4815,111,621
应付票据429,636-3.62%445,771499,219312,157247,484
应付帐款753,284-13.26%868,4161,031,0181,008,4681,372,957
其他流动负债3,178,1252.11%3,112,3713,203,4363,475,7693,798,224
7,012,1166.51%6,583,6157,133,0808,784,87410,530,286
流动资产净值(903,491)301.93%(224,789)(723,950)(2,420,889)(3,182,421)
资产总额减流动负债9,913,423-10.12%11,029,66711,644,91010,589,38910,329,486

非流动负债
长期借款1,316,96317.83%1,117,7011,554,0821,321,1071,087,741
应付债券0-100.00%1,250,7321,503,0351,437,0930
其他非流动负债233,430-25.14%311,820257,498485,676985,149
1,550,393-42.15%2,680,2533,314,6153,243,8762,072,890

总权益
    实收股本1,207,8740.00%1,207,8741,198,1821,196,032965,532
    储备项目6,908,8470.21%6,894,1016,881,0116,107,2535,713,133
股东权益8,116,7200.18%8,101,9758,079,1937,303,2856,678,665
非控股权益246,310-0.46%247,439251,10342,2281,577,931