当前位置:首页 - 行情中心 - 透景生命(300642) - 财务分析 - 资产负债表

透景生命

(300642)

  

流通市值:30.82亿  总市值:36.38亿
流通股本:1.38亿   总股本:1.63亿

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395,652,885.52377,936,538.43391,089,370.79308,738,859.31
  交易性金融资产171,971,137.36160,383,139.7493,733,473.98181,745,893.15
  应收票据及应收账款226,905,221.63192,751,196.81211,239,715.2223,500,570.22
        应收账款226,905,221.63192,751,196.81211,239,715.2223,500,570.22
  应收款项融资299,457.58---
  预付款项10,705,349.859,103,594.967,737,163.075,402,101.07
  其他应收款合计1,801,649.97802,952.25706,796.14665,608.78
  存货107,017,707.7998,346,206.78106,193,826.64111,464,669.82
  一年内到期的非流动资产16,929,448.1216,929,448.1249,907,983.7360,697,942.63
  其他流动资产23,145,402.4520,648,543.616,754,516.126,500,418.68
  流动资产合计954,428,260.27876,901,620.69877,362,845.65918,716,063.66
非流动资产:
  长期应收款14,785,437.8615,470,776.0616,423,961.9414,529,038.99
  长期股权投资111,881,551.13114,954,408.22116,530,257.08118,217,947.38
  其他权益工具投资1,200,0001,200,0001,200,0001,200,000
  其他非流动金融资产207,185,814.15212,577,958.32214,884,920.02214,884,920.02
  固定资产170,339,274.46172,281,801.99183,502,765.43194,875,284.12
  在建工程176,232,779.21195,727,009.81145,302,341.08167,140,304.39
  使用权资产14,917,412.993,997,502.254,126,327.115,029,645
  无形资产87,561,119.2551,008,056.1748,111,446.8350,265,038.54
  商誉188,489,219.3817,522,022.9--
  长期待摊费用4,728,084.032,223,095.953,443,270.933,823,276.86
  递延所得税资产9,343,432.766,105,578.615,529,395.424,887,482.83
  其他非流动资产59,668,126.1456,764,065.274,577,190.855,417,407.94
  非流动资产合计1,046,332,251.36849,832,275.48813,631,876.64830,270,346.07
  资产总计2,000,760,511.631,726,733,896.171,690,994,722.291,748,986,409.73
流动负债:
  短期借款11,073,759.161,044,014.87543,548.395,993,515.26
  应付票据及应付账款30,824,545.9164,206,35222,944,341.2978,634,029.13
        应付账款30,824,545.9164,206,35222,944,341.2978,634,029.13
  合同负债5,842,830.159,487,781.649,457,911.128,308,357.49
  应付职工薪酬10,691,864.325,349,161.925,316,525.039,780,086.92
  应交税费6,112,909.834,425,293.167,034,631.0611,104,084.17
  其他应付款合计18,701,354.3917,544,662.8714,007,220.0213,589,130.28
  一年内到期的非流动负债2,848,529.962,976,732.712,639,721.592,863,145.91
  其他流动负债655,044.981,070,229.5946,472.02884,897.99
  流动负债合计86,750,838.7106,104,228.6762,890,370.52131,157,247.15
非流动负债:
  长期借款359,380,451.24114,187,846.65104,230,967.3888,378,074.54
  租赁负债12,714,352.119,342.669,912.772,777,256.93
  递延收益6,282,433.346,464,535.417,507,417.38,632,144.85
  递延所得税负债7,708,141.98573,126.55234.290
  非流动负债合计386,085,378.67121,234,851.27111,748,531.7499,787,476.32
  负债合计472,836,217.37227,339,079.94174,638,902.26230,944,723.47
所有者权益(或股东权益):
  实收资本(或股本)162,556,041162,556,041163,021,941163,021,941
  资本公积490,509,779.2490,109,092.57491,836,218.22493,766,626.57
  减:库存股49,149,404.8829,119,568.6134,647,116.6134,647,116.61
  其他综合收益-7,259,310.58-7,152,424.91-7,229,414.64-7,450,854.65
  盈余公积85,099,286.9885,099,286.9885,099,286.9885,099,286.98
  未分配利润789,316,536.27786,300,877.4808,174,648.39807,702,957.3
  归属于母公司股东权益合计1,471,072,927.991,487,793,304.431,506,255,563.341,507,492,840.59
  少数股东权益56,851,366.2711,601,511.810,100,256.6910,548,845.67
  股东权益合计1,527,924,294.261,499,394,816.231,516,355,820.031,518,041,686.26
  负债和股东权益合计2,000,760,511.631,726,733,896.171,690,994,722.291,748,986,409.73
公告日期2025-10-232025-08-272025-04-282025-04-19
审计意见(境内)标准无保留意见
TOP↑