603259 药明康德
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2,267,2495.71%2,144,8772,325,5482,215,6301,202,931
投资性房地产0--0000
固定资产19,186,568-4.07%19,999,93218,784,19017,189,91514,171,334
在建工程8,246,53540.35%5,875,5185,965,7946,982,3937,473,305
无形资产1,234,897-3.56%1,280,5231,574,8021,863,8011,784,832
商誉862,656-0.20%864,389972,3521,820,8731,822,102
其他非流动资产11,317,4400.34%11,278,67412,012,98613,174,26714,238,596
43,115,3464.03%41,443,91341,635,67243,246,87840,693,100

流动资产
货币资金35,725,8351.69%35,131,31018,322,03413,764,0597,985,741
应收账款10,471,71544.19%7,262,6547,951,7017,901,3805,972,778
存货11,126,54623.72%8,993,2455,399,7474,736,2305,668,595
其他流动资产15,823,10953.77%10,289,8477,016,6704,020,8024,370,113
73,147,20618.60%61,677,05638,690,15230,422,47123,997,227

流动负债
短期借款6,181,7613.27%5,986,1381,242,6903,667,0603,874,120
应付票据16,478--014,381018,621
应付帐款3,394,58138.58%2,449,5241,750,0611,645,3221,640,694
其他流动负债19,201,77477.80%10,799,60613,218,9849,443,9158,965,928
28,794,59349.70%19,235,26816,226,11514,756,29614,499,362
流动资产净值44,352,6124.50%42,441,78822,464,03715,666,1759,497,864
资产总额减流动负债87,467,9584.27%83,885,70064,099,71058,913,05350,190,965

非流动负债
长期借款1,798,800-1.12%1,819,1002,959,509687,017279,086
应付债券0--000501,990
其他非流动负债1,785,163-1.85%1,818,8872,054,5872,708,5912,483,216
3,583,963-1.48%3,637,9875,014,0963,395,6083,264,292

总权益
    实收股本2,983,7570.00%2,983,7572,887,9932,968,8452,960,527
    储备项目80,349,9604.72%76,728,53355,744,72352,153,60943,629,427
股东权益83,333,7174.54%79,712,29058,632,71555,122,45446,589,953
非控股权益550,2782.77%535,423452,898394,992336,719