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普瑞眼科

(301239)

  

流通市值:50.12亿  总市值:50.12亿
流通股本:1.50亿   总股本:1.50亿

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376,140,370.2474,671,199.19551,793,599.46481,067,596.27
  交易性金融资产70,314,136.9910,002,547.9560,196,635.6220,093,335.51
  应收票据及应收账款104,567,385.64111,445,158.95134,907,501.85101,080,594.08
        应收账款104,567,385.64111,445,158.95134,907,501.85101,080,594.08
  预付款项12,356,728.2912,294,247.837,665,569.512,043,865.27
  其他应收款合计83,120,257.5977,478,450.7680,088,101.7372,400,392.46
  存货186,303,726.69199,643,185.78165,816,396.6148,312,611.64
  一年内到期的非流动资产2,070,388.782,034,289.761,231,087.37617,520.95
  其他流动资产38,249,325.7638,701,920.0840,590,155.5333,643,149.73
  流动资产合计873,122,319.94926,271,000.31,042,289,047.66869,259,065.91
非流动资产:
  长期应收款21,408,887.3321,944,516.0722,462,203.2722,791,618.7
  长期股权投资207,109,185.61208,860,196.9169,770,786.45170,089,374.5
  固定资产1,255,781,629.661,256,587,904.291,224,460,521.661,250,098,693.11
  在建工程13,606,109.1215,759,615.4814,385,378.7753,140,470.08
  使用权资产1,285,044,717.141,207,164,466.651,230,681,718.271,265,516,176.22
  无形资产43,497,782.3644,462,852.1945,569,090.9746,729,700.02
  商誉419,395,958.13419,395,958.13419,395,958.13407,575,727.97
  长期待摊费用467,041,879.71483,492,520.2506,499,004.13487,597,095.94
  递延所得税资产19,429,528.5219,319,047.0621,037,831.2320,728,869.89
  其他非流动资产1,518,440.37,892,045.1499,8674,499,932
  非流动资产合计3,733,834,117.883,684,879,122.073,654,762,359.883,728,767,658.43
  资产总计4,606,956,437.824,611,150,122.374,697,051,407.544,598,026,724.34
流动负债:
  短期借款70,378,678.66141,106,278.41140,991,937.93158,987,898.29
  应付票据及应付账款262,639,203.61273,406,086.93302,606,513.17249,878,971.24
        应付账款262,639,203.61273,406,086.93302,606,513.17249,878,971.24
  预收款项---0
  合同负债32,684,954.9530,561,241.3621,394,361.1616,985,480.51
  应付职工薪酬128,801,284.55121,538,704.34120,368,951.68141,107,637.21
  应交税费34,904,079.7234,409,479.8740,101,982.4935,634,640.4
  其他应付款合计70,772,876.5273,305,587.3592,729,857.43107,334,155.72
  一年内到期的非流动负债212,630,705.68202,542,098.16197,493,086.99189,159,024.37
  流动负债合计812,811,783.69876,869,476.42915,686,690.85899,087,807.74
非流动负债:
  长期借款377,403,514.16389,663,751.98395,217,505.07345,365,294.08
  租赁负债1,273,015,107.421,195,528,773.951,225,913,428.211,229,714,221.38
  递延收益190,625.48196,475.48207,968.82242,074.8
  递延所得税负债2,126,225.932,282,426.682,452,349.252,451,724.42
  非流动负债合计1,652,735,472.991,587,671,428.091,623,791,251.351,577,773,314.68
  负债合计2,465,547,256.682,464,540,904.512,539,477,942.22,476,861,122.42
所有者权益(或股东权益):
  实收资本(或股本)149,619,048149,619,048149,619,048149,619,048
  资本公积1,742,447,019.421,742,187,019.421,742,187,019.421,736,264,206.78
  减:库存股59,770,175.659,770,175.659,770,175.659,770,175.6
  其他综合收益-139,101.86-139,101.86-139,101.86-139,101.86
  盈余公积49,603,541.849,603,541.849,603,541.849,603,541.8
  未分配利润242,269,180.81240,587,505.54253,199,390.4225,920,033.77
  归属于母公司股东权益合计2,124,029,512.572,122,087,837.32,134,699,722.162,101,497,552.89
  少数股东权益17,379,668.5724,521,380.5622,873,743.1819,668,049.03
  股东权益合计2,141,409,181.142,146,609,217.862,157,573,465.342,121,165,601.92
  负债和股东权益合计4,606,956,437.824,611,150,122.374,697,051,407.544,598,026,724.34
公告日期2025-10-282025-08-292025-04-292025-04-29
审计意见(境内)标准无保留意见
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