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稳健医疗

(300888)

  

流通市值:184.76亿  总市值:185.59亿
流通股本:5.80亿   总股本:5.82亿

资产负债表

报告期2026-03-312025-12-312025-09-302025-06-30
公司类型通用通用通用通用
流动资产:
  货币资金1,684,497,076.391,593,989,319.921,812,471,072.371,532,405,558.47
  交易性金融资产2,510,405,865.282,825,378,695.562,038,843,580.182,124,524,520.71
  应收票据及应收账款1,193,057,558.721,080,230,727.011,262,908,182.961,228,093,242.79
  其中:应收票据31,842,895.1339,357,178.5126,260,590.423,468,822.98
        应收账款1,161,214,663.591,040,873,548.51,236,647,592.561,204,624,419.81
  应收款项融资33,862,665.7548,201,306.9833,342,646.7444,592,896.78
  预付款项256,951,168.11179,318,742.7142,724,990.94152,802,786.22
  其他应收款合计203,984,949.35204,468,498.11178,062,404.41177,877,901.77
  其中:应收利息-0--
        应收股利-0--
  存货2,080,498,499.72,016,213,055.342,139,025,765.751,946,406,554.83
  一年内到期的非流动资产668,334,268.07432,793,859.94778,337,171.08350,659,891.23
  其他流动资产102,236,421.6785,677,714.26102,209,785.886,737,201.57
  流动资产合计8,733,828,473.048,466,271,919.828,487,925,600.237,644,100,554.37
非流动资产:
  长期应收款81,124,939.3583,590,080.7289,978,612.8194,230,610.68
  长期股权投资463,316,803.37478,989,825.04495,639,467.18426,186,435.73
  其他非流动金融资产99,291,359.0899,881,071.54107,453,869.24107,419,143.12
  投资性房地产1,230,590.581,454,295.271,682,492.851,910,690.44
  固定资产4,184,073,060.664,199,969,234.924,105,441,125.723,945,978,042.78
  在建工程518,113,289.66511,625,219.44467,522,642.17599,316,255.96
  使用权资产519,355,128.61554,782,629.68598,996,941.68588,511,186.31
  无形资产1,000,180,768.631,008,848,502.751,026,922,741.551,049,738,760.82
  商誉1,054,443,465.781,061,673,881.521,245,785,515.391,249,294,976.83
  长期待摊费用136,558,539.57133,901,014.09127,944,946.77123,764,487.44
  递延所得税资产142,578,411.64146,109,331.24144,606,154.86132,167,096.15
  其他非流动资产1,543,005,727.481,657,761,021.191,644,420,055.072,055,143,661.31
  非流动资产合计9,743,272,084.419,938,586,107.410,056,394,565.2910,373,661,347.57
  资产总计18,477,100,557.4518,404,858,027.2218,544,320,165.5218,017,761,901.94
流动负债:
  短期借款2,063,936,461.031,836,629,579.242,058,885,150.161,800,844,655
  应付票据及应付账款1,414,739,980.031,662,437,488.271,428,136,690.621,308,039,383.35
  其中:应付票据395,413,820.09381,818,750.95363,381,096.09357,293,200.97
        应付账款1,019,326,159.941,280,618,737.321,064,755,594.53950,746,182.38
  预收款项-0--
  合同负债156,664,527.97169,914,491.43174,413,616.21168,112,166.85
  应付职工薪酬223,396,471.06332,576,791.46283,267,796.83238,452,569.48
  应交税费146,479,633.27130,559,536.02105,716,191.27112,305,368.18
  其他应付款合计488,512,809.95529,651,533.3753,735,426.59685,506,960.47
  其中:应付利息-0--
        应付股利--185,256,001.11103,930,651.75
  一年内到期的非流动负债175,174,903.81185,546,235.07206,472,495.76206,174,504.07
  其他流动负债22,671,597.1622,078,405.9419,818,546.3220,865,332.19
  流动负债合计4,691,576,384.284,869,394,060.735,030,445,913.764,540,300,939.59
非流动负债:
  长期借款70,000,00050,000,00050,000,00050,000,000
  租赁负债392,598,978.75416,875,073.97419,013,757.88412,913,690.2
  长期应付款26,388,711.626,994,520.7726,513,272.0326,483,360.45
  长期应付职工薪酬13,099,357.813,271,993.5614,235,937.2614,006,037.56
  预计负债-0--
  递延收益207,798,064.18211,162,383.13184,043,422.27177,953,549.44
  递延所得税负债132,534,015.88136,896,207.18163,254,676.66146,882,546.05
  其他非流动负债399,639,821.93387,682,358.99393,963,888.55373,262,348.97
  非流动负债合计1,242,058,950.141,242,882,537.61,251,024,954.651,201,501,532.67
  负债合计5,933,635,334.426,112,276,598.336,281,470,868.415,741,802,472.26
所有者权益(或股东权益):
  实收资本(或股本)582,329,808582,329,808582,329,808582,329,808
  资本公积3,386,460,136.673,389,737,553.593,395,041,294.383,405,888,168.65
  减:库存股4,187,537.14,187,537.17,193,7257,193,725
  其他综合收益-27,654,865.89-11,835,038.99-4,592,675.86-4,760,520.44
  盈余公积420,212,778.13420,212,778.13420,212,778.13420,212,778.13
  未分配利润7,391,943,908.117,140,453,466.827,104,381,370.547,126,532,427.6
  归属于母公司股东权益合计11,749,104,227.9211,516,711,030.4511,490,178,850.1911,523,008,936.94
  少数股东权益794,360,995.11775,870,398.44772,670,446.92752,950,492.74
  股东权益合计12,543,465,223.0312,292,581,428.8912,262,849,297.1112,275,959,429.68
  负债和股东权益合计18,477,100,557.4518,404,858,027.2218,544,320,165.5218,017,761,901.94
公告日期2026-04-222026-04-222025-10-282025-08-22
审计意见(境内)标准无保留意见
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