000538 云南白药
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13,272,8205.66%12,561,27611,536,66111,318,750184,992
投资性房地产49,792-0.18%49,88444,10455,824528
固定资产3,014,8800.07%3,012,8792,662,9002,723,3022,970,909
在建工程812,78315.54%703,439529,709193,993230,029
无形资产546,038-2.80%561,796583,372590,986699,072
商誉96,9630.00%96,963104,122129,88239,749
其他非流动资产1,773,428-0.22%1,777,2812,007,8602,631,1962,706,201
19,566,7034.28%18,763,51817,468,72717,643,9346,831,479

流动资产
货币资金8,617,685-20.85%10,887,98314,218,34313,056,11418,870,865
应收账款10,255,6333.35%9,923,3619,966,1709,089,8227,184,434
存货5,777,216-8.22%6,294,3686,442,1957,993,2078,379,223
其他流动资产9,126,24729.54%7,044,9515,688,8585,537,86711,069,428
33,776,781-1.09%34,150,66336,315,56635,677,01045,503,950

流动负债
短期借款8,310-98.04%423,3801,747,3041,850,8681,721,899
应付票据1,868,793-2.35%1,913,7031,850,8631,991,9082,228,882
应付帐款4,830,4391.51%4,758,3524,359,6334,639,2614,208,680
其他流动负债5,658,782-1.81%5,763,0564,779,9795,076,3224,558,865
12,366,324-3.83%12,858,49112,737,77913,558,35912,718,325
流动资产净值21,410,4570.56%21,292,17223,577,78722,118,65232,785,625
资产总额减流动负债40,977,1612.30%40,055,69041,046,51439,762,58539,617,104

非流动负债
长期借款2,1000.00%2,1002,1002,10089,600
应付债券0--0000
其他非流动负债1,157,187-2.55%1,187,5051,139,0541,233,4881,092,362
1,159,287-2.55%1,189,6051,141,1541,235,5881,181,962

总权益
    实收股本1,784,2630.00%1,784,2631,796,8631,796,8631,282,715
    储备项目37,949,1402.43%37,047,68438,082,25936,706,81136,944,717
股东权益39,733,4032.32%38,831,94639,879,12238,503,67438,227,432
非控股权益84,471147.44%34,13826,23823,324207,710