002793 罗欣药业
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179,988-1.48%182,690184,635170,5630
投资性房地产11,139-6.06%11,8570031,084
固定资产1,124,593-9.05%1,236,4281,247,0321,409,3291,639,885
在建工程27,69735.58%20,428336,860294,225362,381
无形资产465,115-4.57%487,366476,240392,810338,112
商誉1,9530.00%1,9531,9534,3789,757
其他非流动资产493,932-19.14%610,875803,1761,125,693747,224
2,304,418-9.69%2,551,5983,049,8963,396,9973,128,442

流动资产
货币资金504,95810.57%456,677692,8991,433,8052,001,722
应收账款494,084-13.18%569,106504,542868,6423,133,838
存货367,856-19.95%459,556455,611684,986709,077
其他流动资产318,8306.62%299,041414,4581,734,460523,750
1,685,729-5.53%1,784,3802,067,5114,721,8936,368,388

流动负债
短期借款969,78630.69%742,079555,6032,378,2531,934,109
应付票据76,476-7.64%82,802079,968140,712
应付帐款404,663-12.28%461,295384,894432,284759,056
其他流动负债619,048-50.55%1,251,809977,0591,484,3141,173,401
2,069,972-18.44%2,537,9851,917,5564,374,8184,007,277
流动资产净值(384,243)-49.01%(753,605)149,956347,0742,361,111
资产总额减流动负债1,920,1746.80%1,797,9933,199,8523,744,0725,489,553

非流动负债
长期借款232,21674.10%133,384429,232190,927567,128
应付债券0--0000
其他非流动负债157,867-23.07%205,205198,210245,891186,635
390,08415.21%338,589627,442436,818753,763

总权益
    实收股本1,087,5880.00%1,087,5881,087,5881,087,5881,463,689
    储备项目364,89223.82%294,6891,382,3132,087,2962,920,897
股东权益1,452,4815.08%1,382,2772,469,9013,174,8844,384,587
非控股权益77,6090.62%77,127102,508132,370351,203