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康拓医疗

(688314)

  

流通市值:35.82亿  总市值:35.82亿
流通股本:8123.92万   总股本:8123.92万

资产负债表

报告期2025-12-312025-09-302025-06-302025-03-31
公司类型通用通用通用通用
流动资产:
  货币资金374,071,404.96237,963,156.13318,610,614.3294,254,071.33
  交易性金融资产0130,000,00070,000,00081,000,000
  应收票据及应收账款17,938,151.028,893,422.128,925,412.126,831,637.32
        应收账款17,938,151.028,893,422.128,925,412.126,831,637.32
  预付款项6,852,946.086,979,623.954,993,343.894,718,864.44
  其他应收款合计9,046,491.775,875,418.043,886,414.273,997,527.35
  存货32,615,923.8630,934,238.9124,934,581.3727,837,162.62
  其他流动资产2,866,761.251,483,109.521,225,160.61,268,004.25
  流动资产合计443,391,678.94422,128,968.67432,575,526.55419,907,267.31
非流动资产:
  长期股权投资16,768,651.318,300,262.5321,178,490.9419,995,118.74
  其他权益工具投资03,752,7003,752,7003,752,700
  其他非流动金融资产34,714,727.0733,923,580.3734,142,517.135,000,000
  投资性房地产012,290,614.8712,385,592.3512,480,569.83
  固定资产143,101,192.85123,916,949.28124,274,234.7125,882,171.24
  在建工程77,015,646.971,676,861.4157,517,604.6854,422,761.08
  使用权资产8,793,419.627,953,344.098,609,564.498,271,080.35
  无形资产59,404,315.318,212,390.319,361,035.1920,498,890.17
  开发支出12,008,516.211,233,001.098,449,046.766,930,247.67
  商誉57,309,937.236,020,190.866,020,190.866,020,190.86
  长期待摊费用6,345,231.11,453,768.911,523,115.622,209,664.59
  递延所得税资产9,681,313.054,466,046.124,063,512.833,870,747.16
  其他非流动资产40,625,222.0255,604,567.4544,217,500.3640,299,361.06
  非流动资产合计465,768,172.64368,804,277.28345,495,105.88339,633,502.75
  资产总计909,159,851.58790,933,245.95778,070,632.43759,540,770.06
流动负债:
  应付票据及应付账款23,075,893.9926,140,856.9917,313,646.7419,627,813.02
        应付账款23,075,893.9926,140,856.9917,313,646.7419,627,813.02
  合同负债2,781,508.533,517,536.933,198,777.063,459,759.94
  应付职工薪酬11,813,438.256,334,4885,950,866.488,017,932.84
  应交税费9,525,738.17,103,680.419,737,461.329,092,384.22
  其他应付款合计10,301,502.796,075,265.576,484,109.285,255,854.64
  一年内到期的非流动负债47,165,424.3937,206,302.4837,745,627.8537,656,980.86
  其他流动负债409,531.17440,703.1396,353.24394,586.52
  流动负债合计105,073,037.2286,818,833.4880,826,841.9783,505,312.04
非流动负债:
  长期借款33,900,000000
  租赁负债6,679,253.666,449,635.126,884,906.926,652,172.62
  长期应付款25,543,388.150,056.3351,305.6952,306.25
  预计负债77,226.88000
  递延收益5,044,978.515,160,068.085,275,157.655,390,247.22
  递延所得税负债8,801,411.272,108,675.92,374,999.432,557,555.29
  非流动负债合计80,046,258.4213,768,435.4314,586,369.6914,652,281.38
  负债合计185,119,295.64100,587,268.9195,413,211.6698,157,593.42
所有者权益(或股东权益):
  实收资本(或股本)81,239,17281,239,17281,239,17281,239,172
  资本公积310,916,646.09307,641,024.2305,225,705.8299,863,015.94
  其他综合收益1,295,288.861,041,720.61,350,056.711,645,085.51
  盈余公积51,668,296.451,668,296.451,668,296.451,668,296.4
  未分配利润272,639,540.32246,678,651.78241,209,969.53224,882,563.16
  归属于母公司股东权益合计717,758,943.67688,268,864.98680,693,200.44659,298,133.01
  少数股东权益6,281,612.272,077,112.061,964,220.332,085,043.63
  股东权益合计724,040,555.94690,345,977.04682,657,420.77661,383,176.64
  负债和股东权益合计909,159,851.58790,933,245.95778,070,632.43759,540,770.06
公告日期2026-03-312025-10-282025-08-292025-04-29
审计意见(境内)标准无保留意见
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