塞力医疗 (603716.sh)

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资产负债表(塞力医疗)

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完整财报对比
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报表类型 合并报表合并报表合并报表合并报表合并报表合并报表合并报表合并报表合并报表
流动资产:
 货币资金(元) 175,356,465.40278,585,654.81299,490,540.00259,843,714.98270,291,028.54394,543,645.52261,866,405.66249,456,876.79413,977,088.37
  其中:交易性金融资产(元) --8,403,455.984,703,105.881,150,000.00-560,000.00327,529.20825,807.91
 应收票据及应收账款(元) 1,587,636,946.121,565,506,947.911,753,915,725.381,777,352,252.551,699,533,326.351,791,118,388.831,814,121,245.631,941,834,921.341,937,137,554.33
  其中:应收票据(元) 32,262,286.5139,507,368.2529,870,398.9124,071,342.1515,578,753.1924,055,206.5118,882,552.308,324,121.4067,780,578.64
  其中:应收账款(元) 1,555,374,659.611,525,999,579.661,724,045,326.471,753,280,910.401,683,954,573.161,767,063,182.321,795,238,693.331,933,510,799.941,869,356,975.69
 预付款项(元) 86,292,037.3771,797,684.4785,460,020.83100,204,855.1393,899,162.79100,109,114.95191,352,958.20124,014,464.20119,825,396.54
 应收利息(元) 5,772,718.474,450,755.6112,528,585.9411,074,882.5822,136,282.1424,468,330.268,311,616.937,777,227.506,793,038.05
 其他应收款(元) 91,849,834.8784,354,416.59134,854,453.18134,244,718.51144,554,212.91164,627,864.19248,051,328.16337,221,634.12466,178,778.60
 存货(元) 376,400,107.26341,601,267.56424,075,893.77413,433,407.98474,792,777.19420,746,738.28575,307,436.95512,131,414.30488,002,808.59
 合同资产(元) 24,539,544.8326,481,460.6926,204,147.0526,440,981.8625,267,726.3826,876,212.59---
 其他流动资产(元) 4,911,340.566,082,201.2013,442,485.8713,894,282.2717,562,096.3713,687,020.7614,279,604.5410,605,564.5912,591,863.77
 流动资产合计(元) 2,365,756,856.132,394,715,901.952,771,846,305.482,748,033,270.492,755,718,512.102,950,562,653.793,125,823,659.423,203,381,052.053,450,725,628.76
非流动资产:
 长期应收款(元) 38,924,694.9543,123,123.4447,296,229.2546,420,339.2450,018,391.4349,740,277.8558,822,935.5060,517,513.8962,718,782.30
 长期股权投资(元) 58,953,516.0661,739,458.6173,894,613.7665,183,654.2766,390,764.0667,694,533.3199,335,786.52101,360,783.98107,944,912.16
 其他权益工具投资(元) 215,713,553.01215,698,565.38248,194,340.95256,479,099.87264,198,824.26265,347,729.18188,363,144.72185,520,177.58157,107,837.48
 固定资产(元) 149,128,720.15155,862,139.91161,246,093.13166,850,931.34171,909,330.81183,923,704.20189,894,496.80194,964,323.10187,325,652.92
 在建工程(元) 12,299,026.768,590,373.548,744,708.517,157,255.514,713,050.153,430,970.843,714,321.6210,353,353.4611,479,158.94
 使用权资产(元) 38,515,464.4439,784,088.2244,641,278.8142,563,913.1644,432,876.4846,584,797.5657,469,282.8460,293,574.2465,905,888.40
 无形资产(元) 34,563,637.9234,295,742.1833,742,192.8034,094,534.4629,285,254.4829,816,653.5130,125,601.8730,718,907.0330,777,857.99
 开发支出(元) --1,227,158.05730,655.84326,129.69-560,128.29197,955.58-
 商誉(元) 115,804,024.53115,804,024.53142,413,853.74142,413,853.74142,413,155.53142,413,155.53154,644,437.63154,644,437.63155,021,898.83
 长期待摊费用(元) 23,490,028.6424,935,384.1526,215,895.8227,488,987.9029,482,650.5931,456,450.5239,636,643.2335,499,588.3439,154,762.14
 递延所得税资产(元) 200,149,808.35197,206,556.32143,146,024.03132,979,075.31124,925,634.19114,769,439.70105,344,382.9295,282,363.1389,010,541.05
 其他非流动资产(元) 52,886,716.7150,028,531.8450,082,652.8754,950,749.7754,253,911.0161,710,431.30126,593,911.01137,334,982.47132,268,582.47
 非流动资产合计(元) 940,429,191.52947,067,988.12980,845,041.72977,313,050.41982,349,972.68996,888,143.501,054,505,072.951,066,687,960.431,038,715,874.68
资产总计(元) 3,306,186,047.653,341,783,890.073,752,691,347.203,725,346,320.903,738,068,484.783,947,450,797.294,180,328,732.374,270,069,012.484,489,441,503.44
流动负债:
 短期借款(元) 465,989,165.12443,695,464.87633,630,246.93571,005,861.70663,251,806.61778,869,963.50682,807,001.17845,149,543.14607,712,788.43
 应付票据及应付账款(元) 732,592,003.37747,099,184.50800,411,044.74786,424,185.12731,952,054.84724,881,576.68722,420,287.68717,841,005.76635,281,825.26
  其中:应付票据(元) 537,429.60906,308.64910,120.701,205,497.445,336,231.054,844,819.095,345,445.2718,064,963.505,950,781.54
  其中:应付账款(元) 732,054,573.77746,192,875.86799,500,924.04785,218,687.68726,615,823.79720,036,757.59717,074,842.41699,776,042.26629,331,043.72
 合同负债(元) 24,523,451.5223,353,765.5326,340,258.8333,377,469.7327,092,376.6526,847,193.1537,504,321.1538,048,665.5045,467,129.20
 应付职工薪酬(元) 17,406,990.8122,769,280.1911,021,776.0910,342,852.4312,724,563.0224,286,270.3321,139,670.7619,428,406.2621,520,940.23
 应交税费(元) 19,586,201.5827,307,082.0727,103,930.7927,818,978.1824,010,297.7835,914,227.4428,755,674.8129,545,178.7345,641,752.28
 应付利息(元) 3,914,920.593,767,085.194,028,661.914,028,661.917,456,285.055,907,927.156,315,455.248,287,701.149,098,458.92
 应付股利(元) 6,215,380.846,215,380.848,260,046.346,215,380.846,215,380.8413,215,380.846,215,380.846,215,380.846,215,380.84
 其他应付款(元) 54,807,223.9992,887,533.9067,938,206.3589,785,547.8481,358,291.49102,590,936.6296,102,551.8987,690,673.17395,576,929.66
 一年内到期的非流动负债(元) 9,660,960.7110,689,011.3243,945,536.9347,938,104.5663,905,313.8697,812,077.98184,153,952.20174,640,760.60135,604,425.86
 其他流动负债(元) 14,531,474.9217,675,542.2514,087,789.4015,129,056.0418,108,825.9926,108,347.9622,416,736.7816,707,544.288,126,649.66
 流动负债合计(元) 1,349,227,773.451,395,459,330.661,636,767,498.311,592,066,098.351,636,075,196.131,836,433,901.651,807,831,032.521,943,554,859.421,910,246,280.34
非流动负债:
 长期借款(元) 23,936,513.8923,736,513.8923,861,372.2223,850,156.6619,564,733.4719,805,784.8666,400,000.0043,861,617.62272,658,812.50
 应付债券(元) 549,589,130.68540,150,338.53530,886,456.70527,309,379.70515,103,332.52507,562,873.38500,258,116.85492,466,117.88485,511,151.13
 租赁负债(元) 31,743,658.2932,866,898.5932,875,733.2431,657,032.0035,142,532.2031,742,770.6648,950,510.3843,550,386.7039,199,211.17
 长期应付款(元) 20,845,943.4720,905,713.3713,519,078.8616,579,647.7619,384,931.1633,765,658.9325,687,513.203,300,437.849,348,076.40
 长期应付职工薪酬(元) 621,785.36621,785.36621,785.36621,785.36621,785.36621,785.36617,972.55621,785.363,972,182.68
 预计负债(元) ---14,432,134.8014,432,134.8014,432,134.80---
 递延收益(元) 65,438.3865,438.3877,811.5591,691.62122,945.01144,945.01197,900.00105,000.00127,000.00
 递延所得税负债(元) 13,180,665.1813,285,696.825,775,032.105,424,729.725,682,442.795,969,669.025,879,189.515,879,189.513,669,704.87
 非流动负债合计(元) 639,983,135.25631,632,384.94607,617,270.03619,966,557.62610,054,837.31614,045,622.02647,991,202.49589,784,534.91814,486,138.75
负债合计(元) 1,989,210,908.702,027,091,715.602,244,384,768.342,212,032,655.972,246,130,033.442,450,479,523.672,455,822,235.012,533,339,394.332,724,732,419.09
所有者权益(或股东权益):
 实收资本或股本(元) 201,323,345.00202,100,979.00202,100,979.00203,517,111.00203,517,111.00203,517,111.00205,018,993.00205,018,993.00205,018,993.00
 其他权益工具(元) 94,073,104.1194,073,104.1194,073,470.6494,118,825.3694,124,022.6194,124,022.6194,193,608.9394,128,768.5394,193,608.93
 资本公积(元) 814,245,510.36819,862,947.04819,180,656.91833,709,175.39833,435,995.90833,907,992.44854,571,686.83855,060,552.77854,710,131.38
 减:库存股(元) 182,250,792.53175,666,742.99175,587,231.28187,647,055.22187,680,928.83187,680,928.83200,549,549.43200,149,681.06200,549,549.43
 其他综合收益(元) -29,074,461.59-29,123,386.01-6,834,274.56-2,954,738.481,213,311.662,054,448.02-21,170,361.43-15,303,086.78-6,667,817.76
 盈余公积(元) 45,415,047.0945,415,047.0945,095,047.0945,256,746.2445,256,746.2445,256,746.2445,256,746.2445,256,746.2445,256,746.24
 未分配利润(元) 257,407,919.27254,251,138.43406,514,263.19413,314,713.16396,876,345.58411,784,160.60561,186,974.82567,881,484.01587,386,867.66
 归属于母公司股东权益合计(元) 1,201,139,671.711,210,913,086.671,384,542,910.991,399,314,777.451,386,742,604.161,402,963,552.081,538,508,098.961,551,893,776.711,579,348,980.02
 少数股东权益(元) 115,835,467.24103,779,087.80123,763,667.87113,998,887.48105,195,847.1894,007,721.54185,998,398.40184,835,841.44185,360,104.33
 股东权益合计(元) 1,316,975,138.951,314,692,174.471,508,306,578.861,513,313,664.931,491,938,451.341,496,971,273.621,724,506,497.361,736,729,618.151,764,709,084.35
负债和股东权益合计(元) 3,306,186,047.653,341,783,890.073,752,691,347.203,725,346,320.903,738,068,484.783,947,450,797.294,180,328,732.374,270,069,012.484,489,441,503.44
公告日期 2024-04-272024-04-272023-10-272023-08-302023-04-272023-04-272022-10-272022-08-162022-04-28
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