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力生制药

(002393)

  

流通市值:54.45亿  总市值:56.03亿
流通股本:2.50亿   总股本:2.58亿

资产负债表

报告期2025-09-302025-06-302025-03-312024-12-31
公司类型通用通用通用通用
流动资产:
  货币资金1,227,839,683.331,229,616,013.61,668,160,052.291,638,999,235.4
  交易性金融资产810,750,150.4788,152,803.57451,008,867.95573,355,598.34
  应收票据及应收账款289,715,870.63341,410,063.99316,159,714.25263,431,840.79
  其中:应收票据31,613,604.7746,372,796.7848,183,462.1255,467,055.48
        应收账款258,102,265.86295,037,267.21267,976,252.13207,964,785.31
  应收款项融资105,396,563.25123,419,655.82163,455,280.66163,151,561.97
  预付款项28,109,639.0921,377,513.8139,828,149.0134,881,849.47
  其他应收款合计289,128,212.77311,538,368.1329,052,801.973,208,494.99
        应收股利279,450,000303,750,000--
  存货209,740,616.35227,016,368.28223,279,537.3224,365,964.79
  合同资产245,511.63245,511.63339,000448,011.63
  一年内到期的非流动资产30,303,882.830,158,671.3355,354,583.3376,474,583.33
  其他流动资产153,816,542.3392,278,458.39120,357,625.481,397,145.36
  流动资产合计3,145,046,672.583,165,213,428.553,066,995,612.163,059,714,286.07
非流动资产:
  其他权益工具投资1,294,988,767.841,294,988,767.841,295,159,677.961,295,159,677.96
  其他非流动金融资产29,781,238.9429,781,238.9429,781,238.9429,781,238.94
  投资性房地产29,412,150.2329,581,491.2929,863,726.3929,920,173.41
  固定资产945,966,817.04959,998,421.15975,118,047.2988,136,931.03
  在建工程20,284,670.9617,492,374.1918,221,280.9817,610,268.28
  使用权资产11,391,973.8212,352,063.6913,462,768.2814,492,679.8
  无形资产178,648,130.96180,593,092.61174,163,833.26184,059,237.19
  商誉70,410,745.770,511,824.8570,717,263.0470,717,263.04
  长期待摊费用1,075,513.61,173,121.571,233,751.74923,739.36
  递延所得税资产39,489,714.2839,469,470.5141,639,821.4943,799,680.93
  其他非流动资产154,686,314.93152,661,092.1259,718,498.2151,196,636.27
  非流动资产合计2,776,136,038.32,788,602,958.762,709,079,907.492,725,797,526.21
  资产总计5,921,182,710.885,953,816,387.315,776,075,519.655,785,511,812.28
流动负债:
  短期借款25,000,00010,000,00029,750,00039,790,877.05
  应付票据及应付账款96,951,845.88132,846,962.02106,127,043.39135,842,070.55
  其中:应付票据41,612,025.4847,341,989.4842,431,621.139,712,762.09
        应付账款55,339,820.485,504,972.5463,695,422.2996,129,308.46
  预收款项453,896.28694,000.021,816,594.756,700,172.92
  合同负债11,481,210.4720,651,422.1714,077,899.0533,604,600.08
  应付职工薪酬64,681,739.4567,306,751.3170,812,229.0759,074,239.31
  应交税费40,520,264.4951,308,635.0551,356,550.6347,083,471.35
  其他应付款合计438,268,666.67397,103,901.21430,382,170.22417,316,331.79
  其中:应付利息17,260.287,671.24--
        应付股利690,780.2700,629.2146,4001,500,000
  一年内到期的非流动负债2,453,179.32,930,349.132,349,504.982,837,824.58
  其他流动负债659,641.621,907,577.14920,108.694,278,278.92
  流动负债合计680,470,444.16684,749,598.05707,592,100.78746,527,866.55
非流动负债:
  租赁负债6,522,168.966,162,663.647,984,153.198,380,896.69
  长期应付职工薪酬11,148,886.0111,098,886.0111,048,886.0110,998,886.01
  预计负债6,325,583.825,855,174.4510,383,736.59,904,598.33
  递延收益33,679,367.4628,316,705.5827,837,791.3428,511,381.82
  递延所得税负债179,500,845.7179,673,469.64181,791,065.17181,010,916.48
  其他非流动负债202,074202,074202,074202,074
  非流动负债合计237,378,925.95231,308,973.32239,247,706.21239,008,753.33
  负债合计917,849,370.11916,058,571.37946,839,806.99985,536,619.88
所有者权益(或股东权益):
  实收资本(或股本)257,616,859257,704,999257,704,999257,895,388
  资本公积1,615,839,243.081,618,203,174.431,609,510,826.721,652,258,443.16
  减:库存股97,301,287.1639,077,514.1646,312,453.661,054,385.16
  其他综合收益956,581,038.37955,318,810.97959,144,494.33960,365,549.79
  专项储备17,629,461.9317,440,375.1118,908,662.5118,097,556.3
  盈余公积482,828,996.6482,828,996.6482,828,996.6482,828,996.6
  未分配利润1,736,370,355.181,712,755,779.861,516,095,487.171,459,524,542.12
  归属于母公司股东权益合计4,969,564,6675,005,174,621.814,797,881,012.734,769,916,090.81
  少数股东权益33,768,673.7732,583,194.1331,354,699.9330,059,101.59
  股东权益合计5,003,333,340.775,037,757,815.944,829,235,712.664,799,975,192.4
  负债和股东权益合计5,921,182,710.885,953,816,387.315,776,075,519.655,785,511,812.28
公告日期2025-10-242025-08-222025-04-252025-03-21
审计意见(境内)标准无保留意见
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