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润达医疗

(603108)

  

流通市值:81.80亿  总市值:81.80亿
流通股本:6.04亿   总股本:6.04亿

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859,978,959.771,015,844,176.43978,063,518.57876,040,740.75
  交易性金融资产110,050,000129,800,000145,950,00057,800,000
  应收票据及应收账款4,499,760,521.94,610,884,343.594,874,994,353.675,017,752,361.92
  其中:应收票据105,421,150.94145,954,747.0299,237,468.54143,436,801.91
        应收账款4,394,339,370.964,464,929,596.574,775,756,885.134,874,315,560.01
  预付款项841,766,209.06714,492,346.68858,244,058.04962,864,744.48
  其他应收款合计157,221,712.4164,017,243.14173,341,161.96177,141,786.79
  存货1,574,897,118.391,731,809,098.331,680,640,128.811,524,424,467.26
  一年内到期的非流动资产19,558,316.9425,657,975.3822,450,745.8132,282,740.38
  其他流动资产102,040,963.25124,616,830.15105,523,926.3289,608,331.72
  流动资产合计8,165,273,801.718,517,122,013.78,839,207,893.188,737,915,173.3
非流动资产:
  长期应收款14,619,995.8811,247,063.0416,282,120.0310,690,830.2
  长期股权投资1,464,571,671.341,442,467,014.261,482,752,092.581,468,432,692.29
  其他权益工具投资25,765,747.2625,775,748.2638,698,795.1938,698,795.19
  固定资产981,447,701.58985,814,869.67929,817,142.37936,896,678.17
  在建工程3,261,561.163,343,212.542,395,063.532,940,931.43
  使用权资产115,020,250.69114,955,523.73119,757,119.11109,465,876.3
  无形资产66,511,666.6170,800,112.4163,171,289.2767,359,559.15
  开发支出28,965,614.4527,607,419.4125,934,348.8724,613,271.77
  商誉1,773,636,770.921,773,636,770.921,982,679,226.061,982,679,226.06
  长期待摊费用112,434,119.76119,319,381.86123,271,993.24130,000,135.98
  递延所得税资产332,614,060.76316,097,448.47286,095,279.89274,165,477.28
  其他非流动资产9,251,033.899,574,865.16,137,153.824,728,754.07
  非流动资产合计4,928,100,194.34,900,639,429.675,076,991,623.965,050,672,227.89
  资产总计13,093,373,996.0113,417,761,443.3713,916,199,517.1413,788,587,401.19
流动负债:
  短期借款4,775,225,802.974,861,246,299.84,656,131,160.534,524,436,354.45
  交易性金融负债71,072.965,707.45139,486.62-
  应付票据及应付账款1,005,121,317.231,218,827,928.541,327,551,210.671,189,738,881.15
  其中:应付票据59,200,00055,000,00035,000,00035,000,000
        应付账款945,921,317.231,163,827,928.541,292,551,210.671,154,738,881.15
  预收款项11,960,15312,203,702.0510,636,814.9613,691,079.22
  合同负债122,159,309.8177,427,853.3476,507,429.2868,788,568.33
  应付职工薪酬45,002,346.4862,029,076.7746,163,077.2946,411,594.89
  应交税费65,178,323.3365,093,261.4169,558,378.263,931,785.06
  其他应付款合计203,344,572.67169,374,467.23159,274,317.57200,534,249.58
        应付股利26,072,12019,072,12019,572,12061,031,115.25
  一年内到期的非流动负债1,303,984,264.171,203,254,864.761,007,706,092.641,123,905,541.34
  其他流动负债15,302,837.129,259,180.419,174,606.38,186,114.05
  流动负债合计7,547,349,999.747,678,722,341.767,362,842,574.067,239,624,168.07
非流动负债:
  长期借款503,771,004.28632,823,416.3938,528,553.69950,079,055.57
  租赁负债85,980,779.8675,337,017.3886,360,038.6181,363,672.59
  长期应付款121,698,820.2892,936,749.51126,207,903.7178,665,382.84
  预计负债2,682,830.42,483,050.161,997,360.81,720,224.67
  递延收益7,285,029.027,808,447.587,769,321.538,875,661.16
  递延所得税负债42,851,087.1842,978,824.0545,540,603.9643,019,248.2
  其他非流动负债3,118,138.033,209,641.233,206,628.783,759,265.4
  非流动负债合计767,387,689.05857,577,146.211,209,610,411.081,167,482,510.43
  负债合计8,314,737,688.798,536,299,487.978,572,452,985.148,407,106,678.5
所有者权益(或股东权益):
  实收资本(或股本)603,703,341603,678,751603,675,824603,664,264
  其他权益工具46,857,910.3646,921,833.5546,929,448.2246,959,506.15
  资本公积1,244,636,498.531,254,319,265.151,247,916,582.311,247,721,966.06
  其他综合收益-2,695,566.31-3,946,885.095,602,079.214,855,580.75
  盈余公积115,933,980.61115,933,980.61115,933,980.61115,933,980.61
  未分配利润1,715,669,510.081,769,230,728.432,154,933,173.392,196,972,530.94
  归属于母公司股东权益合计3,724,105,674.273,786,137,673.654,174,991,087.744,216,107,828.51
  少数股东权益1,054,530,632.951,095,324,281.751,168,755,444.261,165,372,894.18
  股东权益合计4,778,636,307.224,881,461,955.45,343,746,5325,381,480,722.69
  负债和股东权益合计13,093,373,996.0113,417,761,443.3713,916,199,517.1413,788,587,401.19
公告日期2026-04-292026-04-292025-10-302025-08-27
审计意见(境内)标准无保留意见
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