当前位置:首页 - 行情中心 - 恒瑞医药(600276) - 财务分析 - 资产负债表

恒瑞医药

(600276)

  

流通市值:4402.12亿  总市值:4586.31亿
流通股本:63.71亿   总股本:66.37亿

资产负债表

报告期2025-06-302025-03-312024-12-312024-09-30
公司类型通用通用通用通用
流动资产:
  货币资金36,121,847,258.7724,085,707,596.2624,815,905,657.7522,131,746,769.8
  交易性金融资产109,008,426.17110,116,290.63273,344,684.37773,721,236.62
  应收票据及应收账款5,138,420,424.324,969,902,835.855,064,745,008.655,718,899,410.25
  其中:应收票据115,871,584.3140,335,876.67149,872,397.3745,123,046.17
        应收账款5,022,548,840.024,829,566,959.184,914,872,611.285,673,776,364.08
  应收款项融资895,205,451.392,328,588,810.091,094,724,979.821,073,326,532.38
  预付款项1,474,856,580.621,575,752,612.451,147,239,443.441,664,834,473.02
  其他应收款合计42,650,250.6640,956,660.6166,413,247.5130,652,978.76
  存货2,581,065,230.172,400,981,547.82,417,118,478.122,530,975,157.69
  其他流动资产397,235,182.78457,759,544.21435,435,740.94432,812,829.64
  流动资产合计46,760,288,804.8835,969,765,897.935,314,927,240.5934,456,969,388.16
非流动资产:
  长期股权投资624,887,093.36641,505,864.1666,353,806.05633,707,064.56
  其他非流动金融资产1,190,105,605.911,065,208,108.971,065,410,856.58835,069,613.65
  固定资产5,146,618,900.445,114,649,340.895,131,973,616.645,152,206,131.84
  在建工程1,991,958,379.21,868,359,243.71,687,525,956.971,448,521,992.06
  使用权资产92,138,056.5101,609,466.07108,663,501.7288,646,951.03
  无形资产1,400,322,179.731,381,172,987.371,192,307,211.51,165,402,422.01
  开发支出4,367,240,897.813,940,044,814.833,837,558,941.333,441,149,026.55
  长期待摊费用242,929,300.61257,121,132.57274,642,793.52279,953,611.91
  递延所得税资产409,874,399.32415,437,575.75377,174,628.6413,245,026.89
  其他非流动资产667,153,530.78537,907,258.76479,106,750.6423,228,184.06
  非流动资产合计16,133,228,343.6615,323,015,793.0114,820,718,063.5113,881,130,024.56
  资产总计62,893,517,148.5451,292,781,690.9150,135,645,304.148,338,099,412.72
流动负债:
  应付票据及应付账款2,199,446,687.161,997,125,437.721,967,259,141.21,539,939,354.39
        应付账款2,199,446,687.161,997,125,437.721,967,259,141.21,539,939,354.39
  合同负债161,335,626.51162,694,388.21159,793,447.591,277,373,860.08
  应付职工薪酬5,388,909.035,104,075.674,921,404.373,313,358.14
  应交税费428,063,883.92439,199,705.67426,994,059.62356,043,358.48
  其他应付款合计622,611,075.81709,525,702.61,029,985,142.5613,689,134.42
  一年内到期的非流动负债45,956,342.4645,956,342.4641,125,925.6236,275,492.24
  其他流动负债2,246,018.123,275,841.773,516,601.772,931,852.42
  流动负债合计3,465,048,543.013,362,881,494.13,633,595,722.673,829,566,410.17
非流动负债:
  租赁负债45,472,633.2862,712,297.7169,036,137.5951,304,835.13
  递延收益224,791,191.65216,369,535.04225,650,466.942,550,000
  递延所得税负债128,406,741.46101,049,306.32117,112,243.6383,159,472
  非流动负债合计398,670,566.39380,131,139.07411,798,848.12177,014,307.13
  负债合计3,863,719,109.43,743,012,633.174,045,394,570.794,006,580,717.3
所有者权益(或股东权益):
  实收资本(或股本)6,637,199,8746,379,002,2746,379,002,2746,379,002,274
  资本公积12,871,496,724.292,853,874,760.583,188,072,621.033,222,352,294.98
  减:库存股1,427,696,973.931,303,731,185.491,228,624,448.881,288,758,873.46
  其他综合收益43,414,380.3619,417,101.6116,970,393.777,823,246.29
  盈余公积3,298,912,011.553,298,912,011.553,298,912,011.553,298,912,011.55
  未分配利润37,041,505,200.5135,739,584,528.8333,865,529,008.8532,148,577,868.39
  归属于母公司股东权益合计58,464,831,216.7846,987,059,491.0845,519,861,860.3243,767,908,821.75
  少数股东权益564,966,822.36562,709,566.66570,388,872.99563,609,873.67
  股东权益合计59,029,798,039.1447,549,769,057.7446,090,250,733.3144,331,518,695.42
  负债和股东权益合计62,893,517,148.5451,292,781,690.9150,135,645,304.148,338,099,412.72
公告日期2025-08-212025-04-252025-03-312024-10-25
审计意见(境内)标准无保留意见
TOP↑