603368 柳药集团
2026/03 -
人民币(K¥)
与去年末期
比较
2025/12
人民幣(K¥)
2024/12
人民幣(K¥)
2023/12
人民幣(K¥)
2022/12
人民幣(K¥)

非流动资产
长期股权投资2,123-0.05%2,1243,5765,3711,111
投资性房地产2440.00%244244244244
固定资产1,030,118-0.17%1,031,8351,015,8861,004,456963,095
在建工程133,7929.29%122,41783,07036,32414,041
无形资产210,139-1.87%214,135223,133239,897256,501
商誉751,2590.00%751,259765,460765,460765,460
其他非流动资产802,0611.61%789,376564,450791,031481,380
2,929,7350.63%2,911,3902,655,8202,842,7842,481,831

流动资产
货币资金2,211,949-41.58%3,786,5993,683,5933,147,6683,854,653
应收账款11,155,9026.88%10,437,88910,599,99810,443,4088,712,837
存货3,394,75813.90%2,980,4662,642,3552,306,1752,462,260
其他流动资产1,125,918-7.84%1,221,7221,687,1801,419,4181,095,411
17,888,528-2.92%18,426,67618,613,12717,316,67016,125,160

流动负债
短期借款2,971,31918.94%2,498,1582,944,2423,172,6832,996,060
应付票据1,878,211-8.85%2,060,5023,248,5883,621,3332,901,252
应付帐款3,492,583-3.92%3,635,0663,671,8323,552,9013,625,121
其他流动负债2,834,772-29.61%4,027,2521,993,0491,266,8441,305,285
11,176,884-8.54%12,220,97711,857,71111,613,76110,827,718
流动资产净值6,711,6438.15%6,205,6996,755,4165,702,9095,297,443
资产总额减流动负债9,641,3785.75%9,117,0889,411,2368,545,6927,779,274

非流动负债
长期借款881,96963.24%540,280214,400229,000238,000
应付债券0--0790,139761,305729,967
其他非流动负债445,0992.38%434,770469,774491,648445,960
1,327,06836.10%975,0501,474,3131,481,9531,413,926

总权益
    实收股本349,153-12.09%397,175399,031362,229362,228
    储备项目7,656,9563.03%7,431,7217,225,3786,255,3865,606,736
股东权益8,006,1092.26%7,828,8967,624,4096,617,6155,968,965
非控股权益308,202-1.58%313,142312,514446,125396,383