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誉衡药业

(002437)

  

流通市值:65.92亿  总市值:70.09亿
流通股本:20.99亿   总股本:22.32亿

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439,226,396.34302,061,136.78461,761,822.17481,962,600.35
  交易性金融资产390,817,298.46351,096,896.57140,238,059.5530,001,832.88
  应收票据及应收账款106,744,841.51114,084,010.51107,759,215.78126,128,838.13
  其中:应收票据11,849.04-764,616.061,245,321.46
        应收账款106,732,992.47114,084,010.51106,994,599.72124,883,516.67
  应收款项融资7,054,052.475,799,541.064,216,130.282,496,094.2
  预付款项15,961,246.388,977,720.9117,468,226.7814,269,451.4
  其他应收款合计25,843,868.0726,638,134.1419,462,098.8618,869,579.34
  存货152,933,677.57170,339,936.45185,855,538.43188,671,540.43
  其他流动资产10,456,972.99,791,953.259,830,208.8614,794,268.45
  流动资产合计1,149,038,353.7988,789,329.67946,591,300.71877,194,205.18
非流动资产:
  长期股权投资66,674,198.9467,623,988.168,143,581.2568,292,921.95
  其他权益工具投资78,970,365.778,970,365.778,970,365.778,970,365.7
  其他非流动金融资产133,268,299.93134,018,567.47133,398,650.69130,295,554.02
  投资性房地产33,524,215.7633,851,015.2134,177,814.6934,504,614.15
  固定资产991,196,212.05999,966,044.91,011,787,724.411,023,742,769.78
  在建工程322,543.872,025,106.091,821,098.381,885,323.06
  使用权资产2,375,983.232,715,409.413,054,835.593,394,261.77
  无形资产171,481,326.68180,631,511.35189,136,745.29166,661,527.72
  开发支出15,726,609.2115,449,959.5314,847,715.6814,447,307.96
  商誉369,032,276.3369,032,276.3369,032,276.3369,032,276.3
  递延所得税资产15,394,925.0315,182,486.9816,098,192.8416,464,177.76
  其他非流动资产2,954,781.2611,348,181.1111,590,698.9140,227,307.29
  非流动资产合计1,880,921,737.961,910,814,912.151,932,059,699.731,947,918,407.46
  资产总计3,029,960,091.662,899,604,241.822,878,651,000.442,825,112,612.64
流动负债:
  短期借款70,037,916.6870,037,916.6770,041,708.33-
  应付票据及应付账款56,727,962.360,811,341.464,307,822.8560,446,225.62
        应付账款56,727,962.360,811,341.464,307,822.8560,446,225.62
  合同负债26,332,224.0125,653,547.1636,128,094.4744,195,283.87
  应付职工薪酬47,700,705.3962,351,409.362,794,456.3366,821,715.9
  应交税费41,059,797.8331,240,087.2428,601,686.2932,289,107.21
  其他应付款合计579,526,966.03549,232,016.7615,780,995.52604,127,753.9
        应付股利1,226,505.381,226,505.381,226,505.381,226,505.38
  一年内到期的非流动负债1,368,751.941,357,183.171,345,712.181,334,338.14
  其他流动负债3,026,200.383,158,922.9212,910,827.8713,819,155.29
  流动负债合计825,780,524.56803,842,424.56891,911,303.84823,033,579.93
非流动负债:
  租赁负债987,000.541,404,053.311,534,385.861,946,812.1
  递延收益12,543,692.3612,783,559.7512,680,952.2912,918,087.74
  递延所得税负债11,791,115.9513,021,601.8813,152,705.3713,283,852.93
  其他非流动负债1,078,0001,078,0001,078,0001,078,000
  非流动负债合计26,399,808.8528,287,214.9428,446,043.5229,226,752.77
  负债合计852,180,333.41832,129,639.5920,357,347.36852,260,332.7
所有者权益(或股东权益):
  实收资本(或股本)2,245,789,7262,245,789,7262,247,442,7262,279,749,950
  资本公积417,033,127.76416,691,067.88412,672,398.11456,814,859.42
  减:库存股64,970,50064,970,500102,033,750102,033,750
  其他综合收益-7,853,094.87-7,372,653.21-7,253,928.75-7,213,402.58
  专项储备4,127,197.384,127,197.384,127,197.384,127,197.38
  未分配利润-436,984,529.74-546,325,565.66-620,495,299.41-680,747,566.67
  归属于母公司股东权益合计2,157,141,926.532,047,939,272.391,934,459,343.331,950,697,287.55
  少数股东权益20,637,831.7219,535,329.9323,834,309.7522,154,992.39
  股东权益合计2,177,779,758.252,067,474,602.321,958,293,653.081,972,852,279.94
  负债和股东权益合计3,029,960,091.662,899,604,241.822,878,651,000.442,825,112,612.64
公告日期2025-10-292025-08-272025-04-262025-04-26
审计意见(境内)标准无保留意见
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