当前位置:首页 - 行情中心 - 兴齐眼药(300573) - 财务分析 - 资产负债表

兴齐眼药

(300573)

  

流通市值:142.62亿  总市值:185.44亿
流通股本:1.90亿   总股本:2.46亿

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379,512,277.17379,299,811.38505,157,872.57370,121,251.48
  应收票据及应收账款344,840,157.35278,067,376.14262,813,562.32261,811,520.09
  其中:应收票据26,123,208.2724,585,022.0524,449,303.5320,222,233.67
        应收账款318,716,949.08253,482,354.09238,364,258.79241,589,286.42
  应收款项融资25,225,702.9727,150,264.5116,609,796.0916,122,685.19
  预付款项20,969,214.7219,882,207.5610,588,842.9224,426,473.76
  其他应收款合计2,229,203.821,822,610.042,030,896.863,368,323.3
  存货171,882,226.5176,477,254.16166,084,418.58153,598,936.63
  其他流动资产35,513.79111,934.59273,341.22471,828.64
  流动资产合计944,694,296.32882,811,458.38963,558,730.56829,921,019.09
非流动资产:
  其他权益工具投资10,000,00010,000,00010,000,00010,000,000
  投资性房地产11,365,967.7211,599,514.9911,833,062.2612,066,609.53
  固定资产785,797,241.76779,472,099.92780,580,861.23778,759,890.71
  在建工程376,436,600.51286,191,938.59237,971,380.21196,852,698.13
  使用权资产15,873,255.5117,390,550.8418,313,888.0516,603,238.23
  无形资产145,667,825.51147,300,272.52149,998,413.22134,572,750.75
  开发支出72,337,441.1968,284,205.8563,142,361.8459,611,088.46
  长期待摊费用4,039,122.454,544,445.614,164,238.994,828,576.27
  递延所得税资产27,748,101.9423,239,478.5626,158,917.6422,497,225.08
  其他非流动资产25,512,053.4236,513,449.2630,945,124.8961,930,335.08
  非流动资产合计1,474,777,610.011,384,535,956.141,333,108,248.331,297,722,412.24
  资产总计2,419,471,906.332,267,347,414.522,296,666,978.892,127,643,431.33
流动负债:
  短期借款120,061,388.89170,124,583.33180,149,416.67200,167,750
  应付票据及应付账款23,980,416.6923,639,422.6823,067,986.0617,727,124.96
        应付账款23,980,416.6923,639,422.6823,067,986.0617,727,124.96
  预收款项77,189.96178,044.19104,152.21242,879.25
  合同负债1,594,126.941,746,680.572,827,449.793,217,825.55
  应付职工薪酬78,357,127.2282,545,218.5275,599,259.0280,235,267.46
  应交税费95,519,806.2944,260,311.3662,479,496.5440,483,037.41
  其他应付款合计149,685,230.3590,790,833.42108,298,455.5896,080,178.92
  一年内到期的非流动负债8,070,443.968,325,165.38,615,686.096,279,538
  其他流动负债20,980,092.2419,683,938.4320,202,803.4117,049,742.96
  流动负债合计498,325,822.54441,294,197.8481,344,705.37461,483,344.51
非流动负债:
  租赁负债5,782,344.067,489,159.949,201,018.888,859,182.95
  递延收益58,071,167.4160,403,297.3962,858,917.9164,132,557.35
  非流动负债合计63,853,511.4767,892,457.3372,059,936.7972,991,740.3
  负债合计562,179,334.01509,186,655.13553,404,642.16534,475,084.81
所有者权益(或股东权益):
  实收资本(或股本)245,348,945245,348,945175,249,247175,249,247
  资本公积808,626,425.71801,830,682.63870,713,441.97866,514,775.56
  盈余公积87,624,623.587,624,623.587,624,623.587,624,623.5
  未分配利润715,692,578.11623,356,508.26609,675,024.26463,779,700.46
  归属于母公司股东权益合计1,857,292,572.321,758,160,759.391,743,262,336.731,593,168,346.52
  股东权益合计1,857,292,572.321,758,160,759.391,743,262,336.731,593,168,346.52
  负债和股东权益合计2,419,471,906.332,267,347,414.522,296,666,978.892,127,643,431.33
公告日期2025-10-292025-08-282025-04-292025-04-22
审计意见(境内)标准无保留意见
TOP↑