300149 睿智医药
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166,143-22.53%214,463197,494197,018175,964
投资性房地产74,095-2.53%76,01679,21214,18549,857
固定资产313,757-6.00%333,800373,936318,817671,077
在建工程7,144-45.03%12,9957,96364,384235,735
无形资产32,7506.81%30,66130,04853,534148,610
商誉0--0139,260955,9911,207,459
其他非流动资产706,2813.29%683,804879,231923,6491,041,144
1,300,170-3.82%1,351,7391,707,1442,527,5783,529,847

流动资产
货币资金356,924-3.10%368,329347,260761,664160,460
应收账款184,8444.60%176,719263,853341,495335,166
存货14,09223.17%11,44127,88242,81768,812
其他流动资产124,55742.22%87,58088,185134,384123,307
680,4175.64%644,069727,1791,280,359687,745

流动负债
短期借款56,317-3.68%58,46960,003115,023158,566
应付票据0--0000
应付帐款50,283-21.46%64,02453,79280,698108,378
其他流动负债236,8185.63%224,205312,980536,310723,714
343,419-0.95%346,698426,775732,031990,657
流动资产净值336,99913.33%297,371300,404548,328(302,913)
资产总额减流动负债1,637,168-0.72%1,649,1102,007,5483,075,9063,226,934

非流动负债
长期借款33,015-11.26%37,20543,675177,210614,918
应付债券0--0000
其他非流动负债341,873-8.55%373,842502,988528,695622,939
374,888-8.80%411,047546,663705,9051,237,857

总权益
    实收股本497,9640.00%497,964499,777499,777499,777
    储备项目740,1523.39%715,897936,8701,845,7991,464,668
股东权益1,238,1162.00%1,213,8611,436,6472,345,5761,964,445
非控股权益24,165-0.15%24,20224,23924,42524,632