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XD鲁抗医

(600789)

  

流通市值:89.42亿  总市值:89.42亿
流通股本:8.99亿   总股本:8.99亿

资产负债表

报告期2025-03-312024-12-312024-09-302024-06-30
公司类型通用通用通用通用
流动资产:
货币资金703,936,711.12772,536,945.22908,214,646.54787,776,748.09
应收票据及应收账款1,223,580,194.14940,440,122.12873,993,894.97943,641,495.8
应收账款1,223,580,194.14940,440,122.12873,993,894.97943,641,495.8
应收款项融资405,745,917.21496,587,244.23646,380,420.76510,774,939.78
预付款项78,107,145.2749,730,071.377,235,467.5372,298,440.34
其他应收款合计375,206,468354,780,622.27352,564,754.11346,292,310.61
存货1,359,188,675.351,484,208,209.111,317,991,495.871,224,338,542.66
其他流动资产23,571,726.2830,798,429.3725,721,856.3421,350,347.22
流动资产平衡项目0000
流动资产合计4,169,336,837.374,130,301,803.624,203,339,916.123,907,510,944.5
非流动资产:
长期应收款--00
长期股权投资68,888,897.2670,196,407.6871,956,782.0273,991,963.47
其他权益工具投资16,498,146.8217,804,315.9922,825,209.2722,825,209.27
投资性房地产40,874,61841,542,566.3252,112,743.2152,307,674.14
固定资产3,655,241,733.023,710,666,844.93,652,318,882.143,694,117,012.98
在建工程169,169,811.07121,858,867.39177,758,224.47123,229,703.74
无形资产760,544,098.51766,203,266.06722,830,758.69722,942,218.42
开发支出145,874,093.87127,280,307.33135,359,658.16116,018,401.49
长期待摊费用1,246,598.71,121,634.11632,880.61694,127.11
递延所得税资产23,597,869.1224,026,545.7830,656,966.423,118,730.85
其他非流动资产84,634,275.9786,982,317.2480,246,974.06106,575,387.12
非流动资产平衡项目0000
非流动资产合计4,966,570,142.344,967,683,072.84,946,699,079.034,935,820,428.59
资产平衡项目0000
资产总计9,135,906,979.719,097,984,876.429,150,038,995.158,843,331,373.09
流动负债:
短期借款964,145,432.39871,771,193.79759,339,913.32781,964,791.55
应付票据及应付账款1,442,414,231.061,502,685,721.711,689,977,067.281,425,750,394.09
其中:应付票据613,316,819.17602,428,121.69838,948,931.28575,669,975.9
应付账款829,097,411.89900,257,600.02851,028,136850,080,418.19
预收款项--00
合同负债88,081,728.16104,655,572.3889,572,030.8976,834,718.03
应付职工薪酬14,254,372.6716,442,255.8422,405,799.2819,680,517.1
应交税费31,726,391.5621,829,493.1624,661,700.529,404,879.49
其他应付款合计263,095,344.83250,539,831.37204,427,930.8257,139,463.06
应付股利1,680,905.491,680,905.491,680,905.491,680,905.49
一年内到期的非流动负债446,363,890.63282,557,078.4678,968,254.37628,325,035.75
其他流动负债9,498,234.4710,450,921.9721,107,081.6332,057,253.65
流动负债平衡项目0000
流动负债合计3,259,579,625.773,060,932,068.623,490,459,778.073,251,157,052.72
非流动负债:
长期借款1,447,860,0001,685,900,0001,362,826,0001,335,376,000
长期应付款123,857,705123,857,705123,857,705123,857,705
递延收益161,896,194.56165,724,728.06139,911,883.43143,468,664.05
非流动负债平衡项目0000
非流动负债合计1,733,613,899.561,975,482,433.061,626,595,588.431,602,702,369.05
负债平衡项目0000
负债合计4,993,193,525.335,036,414,501.685,117,055,366.54,853,859,421.77
所有者权益(或股东权益):
实收资本(或股本)898,669,632898,669,632898,669,632897,162,662
资本公积1,698,137,293.881,698,137,293.881,698,137,293.881,689,765,625.49
其他综合收益-23,501,853.18-22,195,684.01-17,174,790.73-17,174,790.73
专项储备1,240,288.771,140,010.53987,284.94832,063.51
盈余公积207,388,115.67207,388,115.67178,378,793.5178,378,793.5
未分配利润1,213,643,496.171,135,045,846.281,134,471,263.961,104,105,876.33
归属于母公司股东权益平衡项目0000
归属于母公司股东权益合计3,995,576,973.313,918,185,214.353,893,469,477.553,853,070,230.1
少数股东权益147,136,481.07143,385,160.39139,514,151.1136,401,721.22
股东权益平衡项目0000
股东权益合计4,142,713,454.384,061,570,374.744,032,983,628.653,989,471,951.32
负债和股东权益合计9,135,906,979.719,097,984,876.429,150,038,995.158,843,331,373.09
公告日期2025-04-302025-03-222024-10-302024-08-22
审计意见(境内)标准无保留意见
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