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德展健康

(000813)

  

流通市值:84.92亿  总市值:84.93亿
流通股本:20.97亿   总股本:20.97亿

资产负债表

报告期2025-06-302025-03-312024-12-312024-09-30
公司类型通用通用通用通用
流动资产:
  货币资金2,445,190,062.612,565,530,124.912,530,699,274.172,628,102,317.69
  交易性金融资产15,028,022.77-0-
  应收票据及应收账款231,850,435.12240,991,197.16284,307,796.15252,251,733.28
  其中:应收票据29,747,888.823,236,110.0742,080,271.4142,730,577.85
        应收账款202,102,546.32217,755,087.09242,227,524.74209,521,155.43
  预付款项23,543,272.846,844,259.497,110,735.9410,279,894.8
  其他应收款合计309,889,433.14336,447,929.34319,453,084.06323,887,686.97
  存货207,189,193.49209,630,292.48197,873,887.61210,732,288.05
  其他流动资产11,614,922.8212,101,531.1311,380,528.022,776,391.17
  流动资产合计3,244,305,342.793,371,545,334.513,350,825,305.953,428,030,311.96
非流动资产:
  债权投资20,000,000-0-
  长期股权投资482,293,551.9488,586,757.78492,563,362.83424,531,969.24
  其他权益工具投资71,725,60071,725,60071,725,600100,000,000
  固定资产709,626,379.56734,434,111.62742,664,051.03728,805,431.74
  在建工程98,366,365.8960,894,563.6443,852,997.4546,705,978.26
  使用权资产27,748,383.0121,730,079.916,702,205.4217,265,880.81
  无形资产156,493,890.42161,535,849.96166,540,473.75170,459,478.47
  开发支出15,565,262.6412,312,923.959,833,653.31-
  商誉289,714,984.06289,714,984.06289,714,984.06289,714,984.06
  长期待摊费用89,663,457.4978,534,302.1677,689,807.4616,585,905.44
  递延所得税资产30,237,144.3731,244,489.3231,202,280.7722,282,509.32
  其他非流动资产37,722,627.0333,618,871.926,518,898.4655,417,422.76
  非流动资产合计2,029,157,646.371,984,332,534.291,969,008,314.541,871,769,560.1
  资产总计5,273,462,989.165,355,877,868.85,319,833,620.495,299,799,872.06
流动负债:
  短期借款143,333.35266,190.49389,047.63470,952.39
  应付票据及应付账款17,696,168.8416,013,856.3915,945,952.5511,695,763.95
        应付账款17,696,168.8416,013,856.3915,945,952.5511,695,763.95
  合同负债197,102.24216,280.65204,899.41199,916.81
  应付职工薪酬6,551,563.0212,901,388.5110,329,997.8610,491,632.58
  应交税费5,227,832.7213,294,785.6711,233,671.174,205,605.74
  其他应付款合计57,781,314.5685,691,020.9968,292,401.9463,217,834.46
        应付股利2,000,0002,000,0002,000,0002,000,000
  一年内到期的非流动负债5,658,051.53,471,978.083,474,143.461,116,357.97
  其他流动负债540.024,820.63,704.095,030.81
  流动负债合计93,255,906.25131,860,321.38109,873,818.1191,403,094.71
非流动负债:
  长期借款114,800,00040,000,0000-
  租赁负债23,621,806.5818,877,026.3214,264,750.0516,132,693.98
  长期应付款5,032,0005,032,0005,032,0005,000,000
  递延收益5,312,034.555,701,377.196,090,719.836,480,062.47
  递延所得税负债20,080,967.8218,733,790.619,622,766.3720,583,907.87
  非流动负债合计168,846,808.9588,344,194.1145,010,236.2548,196,664.32
  负债合计262,102,715.2220,204,515.49154,884,054.36139,599,759.03
所有者权益(或股东权益):
  实收资本(或股本)869,084,133869,084,133869,084,133869,084,133
  资本公积462,068,139.98455,232,104.66455,232,104.66405,940,303.29
  减:库存股180,391,021.9273,275,022.9173,275,022.9159,949,480.2
  其他综合收益-30,399,400-30,399,400-30,399,400-2,125,000
  专项储备--0-
  盈余公积23,813,477.2923,813,477.2923,813,477.2923,813,477.29
  未分配利润3,870,641,697.383,891,453,309.193,913,568,180.553,942,070,697.28
  归属于母公司股东权益合计5,014,817,025.735,135,908,601.235,158,023,472.595,178,834,130.66
  少数股东权益-3,456,751.77-235,247.926,926,093.54-18,634,017.63
  股东权益合计5,011,360,273.965,135,673,353.315,164,949,566.135,160,200,113.03
  负债和股东权益合计5,273,462,989.165,355,877,868.85,319,833,620.495,299,799,872.06
公告日期2025-08-232025-04-292025-04-292024-10-31
审计意见(境内)标准无保留意见
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