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开立医疗

(300633)

  

流通市值:114.28亿  总市值:114.28亿
流通股本:4.33亿   总股本:4.33亿

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1,407,525,277.11,511,142,248.461,445,413,333.311,571,009,392.49
  交易性金融资产14,556,125.161,508,877.9282,512,107.09438,457,719.39
  应收票据及应收账款248,713,507.75193,006,567.02256,509,390.22219,505,064.28
  其中:应收票据1,848,2912,526,2355,645,466.547,687,199.7
        应收账款246,865,216.75190,480,332.02250,863,923.68211,817,864.58
  预付款项48,573,071.950,015,928.5751,437,562.7136,268,487.27
  其他应收款合计7,296,432.9217,656,675.1613,920,439.9218,035,573.47
  存货902,073,928.3787,685,172.65760,270,536.18653,076,170.19
  一年内到期的非流动资产4,954,2506,493,2506,540,7505,780,625
  其他流动资产39,369,821.5436,650,085.428,917,969.7232,862,055.68
  流动资产合计2,673,062,414.672,604,158,805.182,645,522,089.152,974,995,087.77
非流动资产:
  长期应收款7,972,858.487,890,291.668,583,053.719,125,601.46
  其他权益工具投资1,218,947.941,218,947.941,218,947.941,218,947.94
  固定资产525,975,987.31535,098,488.67489,986,955.42492,794,554.27
  在建工程449,485,350.18414,062,401.83404,544,502.17393,936,468.06
  使用权资产38,250,807.1339,417,385.8645,741,753.5149,607,164.71
  无形资产146,987,335.83149,341,469.49150,998,684.27155,647,794.85
  商誉110,530,076.89111,795,808.46112,263,008.82112,506,143.69
  长期待摊费用30,934,831.4232,617,020.1834,487,356.6835,129,242.88
  递延所得税资产77,850,832.7165,779,112.0855,011,811.6952,354,735.83
  其他非流动资产53,746,767.9756,390,199.7847,482,324.3335,681,413.77
  非流动资产合计1,442,953,795.861,413,611,125.951,350,318,398.541,338,002,067.46
  资产总计4,116,016,210.534,017,769,931.133,995,840,487.694,312,997,155.23
流动负债:
  短期借款224,260,541.2183,823,052.66114,456,928.01262,207,517.28
  应付票据及应付账款304,032,262.04279,313,549.71354,802,511.89331,545,887.07
        应付账款304,032,262.04279,313,549.71354,802,511.89331,545,887.07
  合同负债76,619,603.5668,623,692.9871,039,192.21151,441,179.88
  应付职工薪酬148,027,322.44129,109,706.1195,112,352.37195,293,301.62
  应交税费16,152,610.7422,959,228.495,997,638.2828,622,826.25
  其他应付款合计85,869,180.5176,513,386.6489,774,503.7282,758,851.45
  一年内到期的非流动负债15,094,952.6215,506,411.9215,224,973.6316,591,518.7
  其他流动负债10,287,760.3312,199,382.893,623,177.6214,827,642.12
  流动负债合计880,344,233.44788,048,411.4750,031,277.731,083,288,724.37
非流动负债:
  长期借款39,983,671.2339,983,671.2340,019,32639,999,326
  租赁负债26,750,146.3928,730,822.0835,378,210.7835,990,821.42
  递延收益49,789,642.1145,493,319.2445,893,662.7545,495,804.03
  非流动负债合计116,523,459.73114,207,812.55121,291,199.53121,485,951.45
  负债合计996,867,693.17902,256,223.95871,322,477.261,204,774,675.82
所有者权益(或股东权益):
  实收资本(或股本)432,712,405432,712,405432,712,405432,712,405
  资本公积1,153,059,785.851,149,513,794.851,145,967,803.851,142,421,812.85
  减:库存股120,031,542.92120,031,542.92120,031,542.92120,031,542.92
  其他综合收益25,763,154.5812,155,135.8320,678,830.7416,003,911.24
  盈余公积224,186,770.37224,186,770.37224,186,770.37224,186,770.37
  未分配利润1,403,457,944.481,416,977,144.051,421,003,743.391,412,929,122.87
  归属于母公司股东权益合计3,119,148,517.363,115,513,707.183,124,518,010.433,108,222,479.41
  股东权益合计3,119,148,517.363,115,513,707.183,124,518,010.433,108,222,479.41
  负债和股东权益合计4,116,016,210.534,017,769,931.133,995,840,487.694,312,997,155.23
公告日期2025-10-292025-08-222025-04-262025-04-12
审计意见(境内)标准无保留意见
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