当前位置:首页 - 行情中心 - 宣泰医药(688247) - 财务分析 - 资产负债表

宣泰医药

(688247)

  

流通市值:41.53亿  总市值:41.53亿
流通股本:4.53亿   总股本:4.53亿

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143,878,735.73407,111,314.29249,100,119.81209,050,861.02
  交易性金融资产633,461,272.6339,341,275.35516,443,068.49534,112,246.52
  应收票据及应收账款62,489,667.280,003,716.6283,473,14782,119,143.97
  其中:应收票据50,00050,000--
        应收账款62,439,667.279,953,716.6283,473,14782,119,143.97
  预付款项18,262,612.2415,264,322.2911,120,911.339,032,548.9
  其他应收款合计9,676,205.553,242,682.63,707,396.453,656,761.84
  存货65,038,476.5972,546,096.390,169,385.2100,712,763.05
  合同资产9,944,677.216,245,350.0711,036,881.4111,338,686.84
  其他流动资产12,557,897.2311,118,502.548,184,765.548,014,403.87
  流动资产合计955,309,544.35934,873,260.06973,235,675.23958,037,416.01
非流动资产:
  长期股权投资64,600,854.4364,269,297.5765,792,803.0765,141,985.16
  其他非流动金融资产20,000,00020,000,000--
  固定资产304,102,132.92306,277,664.62294,776,272.02297,882,230.19
  在建工程58,126,729.5257,576,398.8163,986,228.9961,111,701.01
  使用权资产5,312.8121,251.2737,189.7353,128.19
  无形资产13,318,083.1314,976,762.416,649,558.5418,264,604.24
  商誉16,221,129.9716,221,129.9718,385,750.7418,385,750.74
  长期待摊费用374,106.24460,413.79552,209.68680,440.08
  递延所得税资产18,457,295.2119,011,820.8718,544,190.6118,760,496.93
  其他非流动资产3,554,770.84,411,384.074,363,384.965,095,556.36
  非流动资产合计498,760,415.03503,226,123.37483,087,588.34485,375,892.9
  资产总计1,454,069,959.381,438,099,383.431,456,323,263.571,443,413,308.91
流动负债:
  应付票据及应付账款26,219,826.3625,862,109.7520,641,748.0421,875,107.81
        应付账款26,219,826.3625,862,109.7520,641,748.0421,875,107.81
  合同负债34,320,091.9729,912,649.0628,488,342.5530,216,454.39
  应付职工薪酬6,158,611.0910,684,758.929,003,326.678,833,557.22
  应交税费2,824,931.752,969,182.834,324,314.212,443,683.52
  其他应付款合计15,050,231.1411,087,810.5616,260,911.47,495,747.63
        应付股利1,761,047.971,761,047.9711,225,097.28-
  一年内到期的非流动负债6,593.7422,550.8622,271.3138,187.26
  其他流动负债2,396,347.472,420,302.54948,421.71,265,608.91
  流动负债合计86,976,633.5282,959,364.5279,689,335.8872,168,346.74
非流动负债:
  长期应付职工薪酬908,246908,246--
  预计负债1,573,016.141,573,016.14--
  递延收益53,886,467.5358,428,381.1266,364,934.9867,614,014.86
  递延所得税负债2,213,049.292,248,686.22,286,560.862,322,201.15
  非流动负债合计58,580,778.9663,158,329.4668,651,495.8469,936,216.01
  负债合计145,557,412.48146,117,693.98148,340,831.72142,104,562.75
所有者权益(或股东权益):
  实收资本(或股本)453,340,000453,340,000453,340,000453,340,000
  资本公积512,908,073.11512,924,510.11512,937,672512,902,400.27
  减:库存股36,126,025.2636,126,025.2636,126,025.2636,126,025.26
  其他综合收益-36,904.97-20,861.17-12,932.76357.33
  盈余公积34,182,632.6134,182,632.6132,202,213.5432,202,213.54
  未分配利润344,244,771.41327,681,433.16345,641,504.33338,989,800.28
  归属于母公司股东权益合计1,308,512,546.91,291,981,689.451,307,982,431.851,301,308,746.16
  股东权益合计1,308,512,546.91,291,981,689.451,307,982,431.851,301,308,746.16
  负债和股东权益合计1,454,069,959.381,438,099,383.431,456,323,263.571,443,413,308.91
公告日期2026-04-302026-04-302025-10-312025-08-23
审计意见(境内)标准无保留意见
TOP↑