002004 华邦健康
2025/06 - 中期
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2,387,4112.08%2,338,7702,755,1012,775,1652,342,749
投资性房地产831,782-1.87%847,672743,676749,844769,688
固定资产8,091,181-2.89%8,332,1737,726,7167,044,3156,170,382
在建工程1,293,75012.16%1,153,5211,869,3351,434,2501,463,891
无形资产1,566,4632.66%1,525,9081,598,8831,732,7691,723,825
商誉2,032,3720.00%2,032,3722,739,9332,948,0943,439,946
其他非流动资产1,912,725-1.58%1,943,3491,906,3531,790,7761,815,138
18,115,684-0.32%18,173,76419,339,99718,475,21317,725,619

流动资产
货币资金3,669,35611.54%3,289,7233,782,8514,186,6194,386,213
应收账款2,360,9588.80%2,169,9601,502,4041,919,2592,374,489
存货2,172,330-3.60%2,253,4012,674,6062,535,5792,402,277
其他流动资产3,336,151-6.38%3,563,6213,427,5392,912,7633,151,072
11,538,7952.32%11,276,70511,387,40011,554,22112,314,051

流动负债
短期借款3,270,756-8.15%3,560,9534,665,5394,576,4455,093,468
应付票据649,410-25.12%867,2491,199,0651,173,0911,355,638
应付帐款1,448,6843.60%1,398,3681,503,7861,201,7191,083,614
其他流动负债4,011,113-12.58%4,588,4913,265,3624,160,3793,856,515
9,379,963-9.94%10,415,06110,633,75211,111,63411,389,234
流动资产净值2,158,832150.55%861,645753,648442,586924,817
资产总额减流动负债20,274,5166.51%19,035,40920,093,64518,917,79918,650,436

非流动负债
长期借款2,569,5317.12%2,398,8492,621,0131,741,8382,221,617
应付债券1,124,632106.58%544,399263,45600
其他非流动负债616,507-0.36%618,751624,443624,582609,826
4,310,67021.02%3,561,9993,508,9122,366,4212,831,443

总权益
    实收股本1,979,9190.00%1,979,9191,979,9191,979,9191,979,919
    储备项目7,768,4535.59%7,357,1398,125,2578,212,2778,127,233
股东权益9,748,3724.41%9,337,05810,105,17710,192,19710,107,152
非控股权益6,215,4731.29%6,136,3516,479,5576,359,1825,711,840