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新华医疗

(600587)

  

流通市值:83.11亿  总市值:83.11亿
流通股本:6.07亿   总股本:6.07亿

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3,110,821,529.993,094,951,280.752,751,625,610.033,014,641,357.03
  交易性金融资产--16,300,00016,200,000
  应收票据及应收账款2,061,067,487.722,091,079,035.692,106,041,612.912,116,854,645.57
  其中:应收票据90,312,415.68178,933,478.35139,983,345.25126,054,762.06
        应收账款1,970,755,072.041,912,145,557.341,966,058,267.661,990,799,883.51
  应收款项融资44,979,248.1865,187,140.5558,848,217.8689,721,444.58
  预付款项245,267,499.76213,474,479.72150,135,189.9192,766,731.95
  其他应收款合计363,771,943.52327,466,980.99528,789,033.24468,631,771.31
  其中:应收利息909,910.36909,910.36909,910.36909,910.36
        应收股利--81,464,867.8781,366,717.43
  存货2,790,860,151.992,903,246,965.283,141,146,365.933,095,019,649
  合同资产137,407,687.07138,963,585.54120,694,416.39106,333,693.75
  一年内到期的非流动资产16,479,877.9415,649,816.5815,382,247.8316,031,460.63
  其他流动资产48,703,909.8743,567,543.7280,658,497.1573,677,642.44
  流动资产合计8,819,359,336.048,893,586,828.828,969,621,191.249,189,878,396.26
非流动资产:
  长期应收款11,616,528.4312,927,063.2710,551,509.1411,545,698.56
  长期股权投资1,248,919,179.171,272,339,852.751,416,475,857.931,497,799,813.13
  其他权益工具投资4,610,015.864,610,015.8638,977,552.2238,977,552.22
  其他非流动金融资产87,969,192.2490,293,916.2690,293,916.2694,798,948.72
  投资性房地产305,645,551.53309,381,731.67294,857,165.66296,687,261.47
  固定资产3,168,587,839.283,185,530,808.122,838,273,917.662,814,307,721.02
  在建工程25,438,970.6921,066,437.86374,379,196.36360,423,903.75
  使用权资产53,804,226.5862,768,173.7441,286,124.4643,141,475.5
  无形资产444,182,632.89447,202,493.38451,474,806.55452,615,998.09
  商誉242,040,699.93242,040,699.93242,040,699.93242,040,699.93
  长期待摊费用124,523,073.78123,538,728.45124,697,332.69126,788,369.92
  递延所得税资产125,609,383.64129,354,456116,204,730114,774,231.98
  其他非流动资产45,981,291.2624,929,049.0669,708,380.8164,207,199.28
  非流动资产合计5,888,928,585.285,925,983,426.356,109,221,189.676,158,108,873.57
  资产总计14,708,287,921.3214,819,570,255.1715,078,842,380.9115,347,987,269.83
流动负债:
  短期借款919,086,632.7925,138,695.04922,118,107.79937,123,049.46
  应付票据及应付账款2,695,616,952.612,531,836,577.42,423,037,163.352,570,931,870.16
  其中:应付票据277,226,811.95194,070,287.86121,594,981.24130,854,709.11
        应付账款2,418,390,140.662,337,766,289.542,301,442,182.112,440,077,161.05
  合同负债1,471,247,0791,649,176,122.931,756,598,226.891,714,759,313.91
  应付职工薪酬186,543,377.92321,209,302.21190,524,717.95191,635,826.91
  应交税费84,458,016.6787,688,856.4362,507,088.688,773,777.68
  其他应付款合计540,906,662.16556,535,130.27742,817,466.06902,791,820.08
        应付股利3,962,731.294,362,731.293,431,548.04154,804,613.35
  一年内到期的非流动负债58,538,055.95120,366,479.7696,992,687.22102,469,759.66
  其他流动负债289,014,615.25355,534,676.12381,463,343.04331,421,317.17
  流动负债合计6,245,411,392.266,547,485,840.166,576,058,800.96,839,906,735.03
非流动负债:
  长期借款123,650,486.8890,565,315.8688,893,333.4182,674,000.07
  租赁负债59,054,465.7848,823,016.0445,965,548.4134,769,060.8
  长期应付款1,458,947.531,730,337.761,827,866.732,096,640.78
  预计负债--22,023,778.7622,128,268.89
  递延收益81,494,854.0377,915,480.3679,421,169.0480,165,705.35
  递延所得税负债97,255,706.195,854,356.92100,158,793.4797,952,960.65
  非流动负债合计362,914,460.32314,888,506.94338,290,489.82319,786,636.54
  负债合计6,608,325,852.586,862,374,347.16,914,349,290.727,159,693,371.57
所有者权益(或股东权益):
  实收资本(或股本)606,644,549606,677,919606,677,919606,677,919
  其他权益工具-73,577,993.14-73,577,993.14-73,577,993.14-73,577,993.14
  资本公积2,497,153,323.552,497,371,897.052,649,591,436.192,717,158,161.77
  减:库存股-17,743,221.7818,322,192.5318,322,192.53
  其他综合收益2,847,449.872,847,449.877,819,623.2215,523,460.91
  专项储备58,934,089.5755,382,264.1152,389,482.850,654,060.73
  盈余公积448,513,450.61448,513,450.61399,857,411.86399,857,411.86
  未分配利润4,238,627,769.64,114,570,738.684,206,699,580.554,158,106,651.17
  归属于母公司股东权益合计7,779,142,639.067,634,042,504.47,831,135,267.957,856,077,479.77
  少数股东权益320,819,429.68323,153,403.67333,357,822.24332,216,418.49
  股东权益合计8,099,962,068.747,957,195,908.078,164,493,090.198,188,293,898.26
  负债和股东权益合计14,708,287,921.3214,819,570,255.1715,078,842,380.9115,347,987,269.83
公告日期2026-04-302026-04-302025-10-312025-08-29
审计意见(境内)标准无保留意见
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