603108 润达医疗
2026/06 - 中期
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1,446,5130.28%1,442,4671,442,6161,172,1341,100,257
投资性房地产0--0000
固定资产942,445-4.40%985,8151,016,0871,059,475962,094
在建工程3,337-0.18%3,3432,84918,71041,433
无形资产81,61015.27%70,80077,32876,64569,459
商誉1,773,6370.00%1,773,6371,982,6792,011,8081,987,641
其他非流动资产612,514-1.93%624,577580,963577,320538,820
4,860,056-0.83%4,900,6395,102,5234,916,0924,699,705

流动资产
货币资金700,937-31.00%1,015,8441,206,5251,068,0611,007,052
应收账款4,340,751-2.78%4,464,9305,196,6765,539,6095,920,812
存货1,610,084-7.03%1,731,8091,323,4391,376,9531,615,932
其他流动资产1,208,073-7.39%1,304,5391,476,3801,409,2771,275,360
7,859,845-7.72%8,517,1229,203,0209,393,9019,819,158

流动负债
短期借款4,706,631-3.18%4,861,2464,924,5604,711,6945,214,906
应付票据0-100.00%55,0000108,000151,328
应付帐款1,006,622-13.51%1,163,8281,158,5741,398,6851,684,876
其他流动负债1,668,6074.38%1,598,6481,460,8981,309,5881,457,680
7,381,860-3.87%7,678,7227,544,0327,527,9678,508,790
流动资产净值477,985-42.99%838,4001,658,9891,865,9341,310,368
资产总额减流动负债5,338,041-6.99%5,739,0396,761,5116,782,0266,010,072

非流动负债
长期借款362,160-42.77%632,823661,579500,577337,506
应付债券0--0225,172602,046486,070
其他非流动负债286,42627.44%224,754270,613232,151176,646
648,586-24.37%857,5771,157,3641,334,7741,000,222

总权益
    实收股本604,6040.15%603,679603,640597,204579,543
    储备项目3,086,049-3.03%3,182,4593,750,9423,682,9013,308,871
股东权益3,690,653-2.52%3,786,1384,354,5824,280,1053,888,414
非控股权益998,802-8.81%1,095,3241,249,5651,167,1481,121,436