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睿智医药

(300149)

  

流通市值:55.57亿  总市值:58.31亿
流通股本:4.75亿   总股本:4.98亿

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356,923,854.27347,919,860.57368,328,773.14319,420,527.01
  结算备付金--0-
  拆出资金--0-
  交易性金融资产19,195,359.464,249,803.831,045,831.12,342,432.5
  衍生金融资产--0-
  应收票据及应收账款184,906,219.87203,109,249.68176,719,261.33203,009,214.4
  其中:应收票据62,056.08312,7150-
        应收账款184,844,163.79202,796,534.68176,719,261.33203,009,214.4
  应收款项融资--0-
  预付款项11,209,900.48,290,922.077,047,438.7114,856,493.04
  应收保费--0-
  应收分保账款--0-
  应收分保合同准备金--0-
  其他应收款合计40,966,999.7612,385,947.4112,057,751.9912,618,212.71
  存货14,092,024.2213,596,368.8411,441,020.510,282,754.97
  合同资产15,889,411.7118,017,505.0322,291,678.412,713,262.58
  一年内到期的非流动资产351,257.61352,219.34352,719.84343,838.54
  其他流动资产36,882,062.4738,019,697.7744,784,709.2948,364,856.25
  流动资产合计680,417,089.77645,941,574.54644,069,184.3623,951,592
非流动资产:
  长期股权投资166,142,961.72216,233,441.26214,462,948.08203,472,804.25
  其他权益工具投资10,000,000---
  其他非流动金融资产---2,296,500
  投资性房地产74,095,284.3675,055,657.2376,016,030.173,969,332.07
  固定资产313,757,012.48322,499,349.21333,799,821.53349,468,721.41
  在建工程7,143,820.5915,617,835.6412,995,305.5912,811,848.63
  生产性生物资产--0-
  油气资产--0-
  使用权资产315,281,167.71340,605,539.98337,085,730.75354,250,340.43
  无形资产32,749,673.9430,033,459.7830,660,729.4329,976,412.06
  开发支出--0-
  商誉--0139,260,380.19
  长期待摊费用253,947,931.33257,816,907.24267,093,634.58282,348,456.99
  递延所得税资产41,804,277.3543,473,192.7339,458,483.0539,005,506.17
  其他非流动资产85,247,638.9539,786,200.240,166,101.8545,836,633.8
  非流动资产合计1,300,169,768.431,341,121,583.271,351,738,784.961,532,696,936
  资产总计1,980,586,858.21,987,063,157.811,995,807,969.262,156,648,528
流动负债:
  短期借款56,317,222.2258,468,944.4458,468,944.4428,454,722.22
  应付票据及应付账款50,283,298.9446,049,995.0464,024,439.3947,723,120.55
  其中:应付票据0---
        应付账款50,283,298.9446,049,995.0464,024,439.3947,723,120.55
  合同负债45,199,630.7640,354,802.7739,360,686.8357,451,407.44
  应付手续费及佣金--0-
  应付职工薪酬31,936,583.2435,537,659.232,963,669.9840,232,401.69
  应交税费7,417,036.4312,061,437.97,628,880.644,994,324.18
  其他应付款合计82,059,383.4769,507,005.8863,473,324.91101,178,995.25
  其中:应付利息--0-
        应付股利--0-
  一年内到期的非流动负债69,743,922.0771,335,959.6980,501,522.0267,157,268.07
  其他流动负债461,428.65430,735.58276,508.3434,640.18
  流动负债合计343,418,505.78333,746,540.5346,697,976.55347,226,879.58
非流动负债:
  长期借款33,014,91637,204,795.3637,204,795.3640,414,916
  租赁负债306,366,167.67334,543,236.2337,133,877.82346,658,823
  预计负债5,588,612.855,529,436.975,470,887.685,412,958.34
  递延收益26,337,660.1827,875,333.0328,360,653.0623,396,866.37
  递延所得税负债3,580,645.633,750,354.832,876,961.243,868,766.81
  非流动负债合计374,888,002.33408,903,156.39411,047,175.16419,752,330.52
  负债合计718,306,508.11742,649,696.89757,745,151.71766,979,210.1
所有者权益(或股东权益):
  实收资本(或股本)497,963,992497,963,992497,963,992499,776,892
  资本公积1,204,738,551.031,205,493,828.971,205,493,828.971,229,187,219.21
  减:库存股---25,506,290.24
  其他综合收益20,950,670.8221,052,894.6121,325,649.598,202,184.26
  盈余公积169,651,962.19169,649,539.17169,649,539.17169,649,539.17
  未分配利润-655,189,594.74-673,929,631.53-680,571,713.18-515,763,893.51
  归属于母公司股东权益合计1,238,115,581.31,220,230,623.221,213,861,296.551,365,545,650.89
  少数股东权益24,164,768.7924,182,837.724,201,52124,123,667.01
  股东权益合计1,262,280,350.091,244,413,460.921,238,062,817.551,389,669,317.9
  负债和股东权益合计1,980,586,858.21,987,063,157.811,995,807,969.262,156,648,528
公告日期2025-08-292025-04-292025-04-292024-10-30
审计意见(境内)标准无保留意见
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