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迈威生物-U

(688062)

  

流通市值:116.70亿  总市值:228.41亿
流通股本:2.04亿   总股本:4.00亿

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1,391,373,811.41,119,746,885.571,192,626,723.551,564,341,685.47
  交易性金融资产-10,003,1253,772,864.5920,947,167.13
  应收票据及应收账款56,939,746.2640,830,507.3138,343,632.4728,413,405.38
        应收账款56,939,746.2640,830,507.3138,343,632.4728,413,405.38
  预付款项61,412,594.7367,297,643.0372,416,801.5784,167,759.53
  其他应收款合计106,194,953.24119,490,603.24100,045,600.2341,618,202.64
  存货210,839,836.85220,223,362.99211,682,026.16208,969,757.94
  其他流动资产53,925,020.480,860,527.9186,293,283.1168,668,120.94
  流动资产合计1,880,685,962.881,658,452,655.051,705,180,931.682,017,126,099.03
非流动资产:
  长期股权投资92,255,731.9857,800,098.1846,657,884.4344,631,578.72
  其他非流动金融资产3,262,013.13695,836.24--
  固定资产1,571,232,514.661,609,618,867.131,653,426,800.48777,421,106.64
  在建工程271,411,431.02260,159,857.13240,871,410.781,009,848,245.24
  使用权资产142,575,949.56150,435,200.52158,649,552.92166,747,855.56
  无形资产149,043,139.57150,880,429.62152,809,274.5142,422,801
  商誉118,769,811.89118,769,811.89118,769,811.89118,769,811.89
  长期待摊费用7,070,555.246,070,425.646,385,848.134,510,822.24
  其他非流动资产232,252,129.44178,473,234.13192,757,338.24216,110,436.82
  非流动资产合计2,587,873,276.492,532,903,760.482,570,327,921.372,480,462,658.11
  资产总计4,468,559,239.374,191,356,415.534,275,508,853.054,497,588,757.14
流动负债:
  短期借款1,009,707,409.71,073,088,580921,601,377.7907,717,127.46
  交易性金融负债---3,375,069.1
  衍生金融负债3,097,224.93,097,224.93,097,224.9-
  应付票据及应付账款114,973,979.72116,800,994.82100,234,370.788,129,984.91
        应付账款114,973,979.72116,800,994.82100,234,370.788,129,984.91
  合同负债403,305,690.4842,840,050.9136,010,201.6347,892,292.91
  应付职工薪酬58,352,851.1484,836,561.4774,786,921.4856,220,985
  应交税费55,937,665.1533,707,220.9839,296,744.7124,596,560.7
  其他应付款合计210,549,211.17189,938,469.23220,293,165.28170,160,874
  一年内到期的非流动负债227,528,685.7210,549,048.98145,168,419.34141,427,713.78
  其他流动负债379,500.011,549,678.251,227,230.443,565,047.03
  流动负债合计2,083,832,217.971,756,407,829.541,541,715,656.181,443,085,654.89
非流动负债:
  长期借款960,763,657.8962,268,796.851,006,446,352.48985,798,859.16
  租赁负债127,846,258.62131,730,504.88142,965,795.63147,169,044.74
  长期应付款38,628,049.7551,204,104.17--
  预计负债1,529,301.91,569,301.91,529,301.9924,334.32
  递延收益27,380,931.8624,853,072.8327,073,698.5315,639,854.78
  其他非流动负债225,000,000---
  非流动负债合计1,381,148,199.931,171,625,780.631,178,015,148.541,149,532,093
  负债合计3,464,980,417.92,928,033,610.172,719,730,804.722,592,617,747.89
所有者权益(或股东权益):
  实收资本(或股本)399,600,000399,600,000399,600,000399,600,000
  资本公积5,760,019,492.365,959,508,386.55,959,464,861.035,959,402,817.93
  其他综合收益5,038,733.135,040,049.135,081,177.23,786,640.68
  未分配利润-5,346,587,738.72-5,086,996,809.24-4,795,268,673.96-4,445,439,800.1
  归属于母公司股东权益合计818,070,486.771,277,151,626.391,568,877,364.271,917,349,658.51
  少数股东权益185,508,334.7-13,828,821.03-13,099,315.94-12,378,649.26
  股东权益合计1,003,578,821.471,263,322,805.361,555,778,048.331,904,971,009.25
  负债和股东权益合计4,468,559,239.374,191,356,415.534,275,508,853.054,497,588,757.14
公告日期2025-08-302025-04-292025-03-312024-10-31
审计意见(境内)标准无保留意见
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