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塞力医疗

(603716)

  

流通市值:44.58亿  总市值:44.58亿
流通股本:2.10亿   总股本:2.10亿

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139,610,238.67122,324,295.57166,976,980.06209,435,589.9
  交易性金融资产1,308,154.68899,028--
  应收票据及应收账款849,193,815.13914,576,207.93903,966,435.811,334,594,245.86
  其中:应收票据14,499,722.1422,657,581.1214,912,409.4345,839,232.09
        应收账款834,694,092.99891,918,626.81889,054,026.381,288,755,013.77
  应收款项融资1,262,802.012,760,544.353,859,342.742,292,106.91
  预付款项60,605,646.2568,114,932.6163,746,238.9755,420,304.07
  其他应收款合计73,864,115.0782,924,036.0894,682,934.54119,627,588.91
  其中:应收利息6,348,813.038,978,313.0315,334,733.424,717,708.14
  存货217,162,250.62251,887,607.63272,122,334.55326,159,533.8
  合同资产21,512,085.1221,238,250.3323,369,973.7324,396,021.62
  其他流动资产17,202,375.1616,421,061.9216,808,325.0815,203,028.89
  流动资产合计1,381,721,482.711,481,145,964.421,545,532,565.482,087,128,419.96
非流动资产:
  长期股权投资49,252,766.7442,313,729.5643,996,259.8945,446,407.84
  其他权益工具投资238,015,298.41238,641,903.44239,440,962.3239,512,447.15
  固定资产105,555,722.08107,885,249.75114,222,708.19121,740,204.66
  在建工程3,535,082.512,869,087.222,429,070.672,249,846.9
  使用权资产25,730,421.328,193,238.6232,039,636.0735,393,298.69
  无形资产30,278,435.7531,094,902.8931,389,432.7333,003,026.8
  商誉43,702,395.4643,702,395.4643,702,395.4643,702,395.46
  长期待摊费用25,551,726.4625,873,523.6728,044,181.430,216,031.29
  递延所得税资产162,475,885.23158,291,617.97151,618,446.35152,617,576.62
  其他非流动资产24,537,064.1839,017,112.2938,936,333.9939,060,801.61
  非流动资产合计708,634,798.12717,882,760.87725,819,427.05742,942,037.02
  资产总计2,090,356,280.832,199,028,725.292,271,351,992.532,830,070,456.98
流动负债:
  短期借款322,343,955.92336,256,197.25310,277,944.38422,761,502.73
  应付票据及应付账款300,040,545.64312,200,873.12317,790,540.83730,747,746.26
  其中:应付票据262,209.6-339,508.8335,054.4
        应付账款299,778,336.04312,200,873.12317,451,032.03730,412,691.86
  合同负债22,146,613.6820,846,703.1222,467,799.7435,388,392.58
  应付职工薪酬21,643,203.6416,329,500.2819,067,164.8322,629,088.31
  应交税费13,376,143.4315,416,655.7919,930,901.2827,194,332.09
  其他应付款合计79,518,019.57114,589,100.4275,046,488.0888,652,212.92
  其中:应付利息4,325,237.284,299,442.574,696,678.66,388,238.43
        应付股利17,135,399.1129,343,399.116,215,380.846,215,380.84
  一年内到期的非流动负债240,269,461.6736,753,651.226,491,472.1233,765,361.43
  其他流动负债5,716,525.714,682,608.179,173,285.0610,305,424.9
  流动负债合计1,005,054,469.26857,075,289.35800,245,596.321,371,444,061.22
非流动负债:
  长期借款--40,163,567.1412,036,208.33
  应付债券-454,793,522.55447,141,215.85439,779,837.06
  租赁负债21,860,697.3821,288,814.9726,553,370.0225,855,174.91
  长期应付款359,815.25722,221.11982,193.921,418,580.91
  长期应付职工薪酬621,785.36621,785.36621,785.36621,785.36
  预计负债877,147.417,057,147.416,000,0006,000,000
  递延收益--42,305.0146,931.64
  递延所得税负债8,276,435.969,004,900.88,608,054.3610,823,782.97
  非流动负债合计31,995,881.36493,488,392.2530,112,491.66496,582,301.18
  负债合计1,037,050,350.621,350,563,681.551,330,358,087.981,868,026,362.4
所有者权益(或股东权益):
  实收资本(或股本)210,169,895191,018,075191,016,661190,988,254
  其他权益工具32,595,084.8172,443,634.7972,446,572.8272,505,506.34
  资本公积893,499,496.18626,673,382.13627,592,476.05627,454,140.68
  减:库存股24,034,381.0324,034,381.0324,034,381.0324,034,381.03
  其他综合收益-24,301,878.51-23,747,973.16-23,101,564.95-23,047,951.31
  盈余公积45,415,047.0945,415,047.0945,415,047.0945,415,047.09
  未分配利润-42,232,605.97-11,107,744.2330,690,521.1745,011,470.86
  归属于母公司股东权益合计1,091,110,657.57876,660,040.59920,025,332.15934,292,086.63
  少数股东权益-37,804,727.36-28,194,996.8520,968,572.427,752,007.95
  股东权益合计1,053,305,930.21848,465,043.74940,993,904.55962,044,094.58
  负债和股东权益合计2,090,356,280.832,199,028,725.292,271,351,992.532,830,070,456.98
公告日期2025-10-302025-08-292025-04-292025-04-29
审计意见(境内)标准无保留意见
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