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润达医疗

(603108)

  

流通市值:105.28亿  总市值:105.28亿
流通股本:6.04亿   总股本:6.04亿

资产负债表

报告期2025-03-312024-12-312024-09-302024-06-30
公司类型通用通用通用通用
流动资产:
货币资金945,817,244.31,206,525,197.671,122,807,492.891,185,357,869.25
应收票据及应收账款5,082,640,087.175,326,013,639.125,497,419,182.215,643,961,089.81
其中:应收票据141,437,953.04129,337,629.52115,443,260.84130,414,342.77
应收账款4,941,202,134.135,196,676,009.65,381,975,921.375,513,546,747.04
预付款项1,031,425,663.4949,084,690.18963,341,169.221,076,569,494.65
其他应收款合计181,679,929205,441,617.85183,221,944.11186,499,731.94
应收股利-17,325,000231,13318,847,036.62
存货1,488,619,174.241,323,439,361.671,456,897,478.751,369,711,585.15
一年内到期的非流动资产32,326,788.0737,252,713.7546,917,424.1542,110,068.57
其他流动资产89,086,153.4573,062,383.4984,186,823.354,784,793.1
流动资产平衡项目0000
流动资产合计8,944,695,039.639,203,020,127.929,454,391,514.639,643,994,632.47
非流动资产:
长期应收款12,050,348.6917,801,778.6212,163,576.5713,717,762.73
长期股权投资1,465,506,304.571,442,616,370.311,233,726,812.641,221,416,905.3
其他权益工具投资38,698,795.1936,698,795.1939,349,591.8339,349,591.83
固定资产971,385,433.61,016,086,687.831,025,907,017.07989,357,620.45
在建工程2,516,514.792,848,562.945,917,836.426,114,651.04
使用权资产119,150,663.39109,851,007.48104,535,803.91110,173,066.34
无形资产72,268,641.7977,328,455.7678,804,891.683,906,809.15
开发支出23,224,966.8319,676,107.317,641,504.012,046,023.65
商誉1,982,679,226.061,982,679,226.062,011,808,358.232,011,808,358.23
长期待摊费用134,279,279.73133,810,538.02134,611,353.89134,245,193.48
递延所得税资产270,273,554.15257,482,309.15247,473,560.92236,753,170.82
其他非流动资产2,672,786.775,642,694.954,833,086.214,913,086.21
非流动资产平衡项目0000
非流动资产合计5,094,706,515.565,102,522,533.624,906,773,393.34,853,802,239.23
资产平衡项目0000
资产总计14,039,401,555.1914,305,542,661.5414,361,164,907.9314,497,796,871.7
流动负债:
短期借款4,572,933,044.984,924,559,871.295,140,923,329.325,108,577,489
交易性金融负债931,494.21,253,592.65--
应付票据及应付账款1,320,459,383.731,158,573,938.531,269,074,122.541,371,658,786.34
其中:应付票据---37,000,000
应付账款1,320,459,383.731,158,573,938.531,269,074,122.541,334,658,786.34
预收款项12,174,099.68,973,556.2414,187,987.0218,610,396.01
合同负债92,383,568.5588,389,516.287,043,874.8275,579,732.3
应付职工薪酬52,372,819.1579,046,623.348,512,638.4739,693,255.47
应交税费79,546,402.195,005,924.0790,524,248.394,856,395.23
其他应付款合计170,020,183.21152,512,227.07180,845,468.88246,761,138.31
应付股利32,551,219.3712,971,219.3718,019,174.3780,844,733.97
一年内到期的非流动负债981,700,974.21,026,526,150.31,089,527,978.62934,414,707.03
其他流动负债11,168,088.049,190,200.1315,533,756.5114,237,015.99
流动负债平衡项目0000
流动负债合计7,293,690,057.767,544,031,599.787,936,173,404.487,904,388,915.68
非流动负债:
长期借款787,127,257.71661,578,715.54443,166,040.02304,715,372.24
应付债券228,109,521.05225,172,313.22280,736,786.22595,045,136.6
租赁负债94,005,830.0674,082,454.2678,442,991.9176,827,650.73
长期应付款101,854,554.93135,299,458.5458,633,038.4440,998,977.48
预计负债1,551,556.532,413,396.722,294,780.62,176,307.18
递延收益9,410,800.3210,870,012.9911,912,209.5614,837,690.39
递延所得税负债44,737,875.0143,939,633.0143,380,976.7945,218,304.8
其他非流动负债3,634,813.514,008,168.73473,308.73473,308.73
非流动负债平衡项目0000
非流动负债合计1,270,432,209.121,157,364,153.01919,040,132.271,080,292,748.15
负债平衡项目0000
负债合计8,564,122,266.888,701,395,752.798,855,213,536.758,984,681,663.83
所有者权益(或股东权益):
实收资本(或股本)603,650,425603,640,279598,875,685598,855,596
其他权益工具46,995,575.6647,022,026.6459,434,549.5959,487,050.77
资本公积1,246,993,828.671,246,386,946.771,181,174,009.831,182,193,414.27
其他综合收益5,920,657.595,864,139.535,196,782.564,678,354.64
盈余公积115,933,980.61115,933,980.61115,933,980.61115,933,980.61
未分配利润2,266,475,909.432,335,734,634.862,330,878,937.812,371,760,838.07
归属于母公司股东权益平衡项目0000
归属于母公司股东权益合计4,285,970,376.964,354,582,007.414,291,493,945.44,332,909,234.36
少数股东权益1,189,308,911.351,249,564,901.341,214,457,425.781,180,205,973.51
股东权益平衡项目0000
股东权益合计5,475,279,288.315,604,146,908.755,505,951,371.185,513,115,207.87
负债和股东权益合计14,039,401,555.1914,305,542,661.5414,361,164,907.9314,497,796,871.7
公告日期2025-04-262025-04-262024-10-302024-08-29
审计意见(境内)标准无保留意见
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