东方雨虹 (002271.sz)

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资产负债表(东方雨虹)

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完整财报对比
2024年一季报2023年年报2023年三季报2023年中报2023年一季报2022年年报2022年三季报2022年中报2022年一季报
上市前/上市后 上市后上市后上市后上市后上市后上市后上市后上市后上市后
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) 5,190,587,197.869,119,500,669.374,162,856,426.715,481,176,549.395,051,738,376.9910,539,216,758.554,250,538,066.115,100,202,193.667,102,587,180.06
  其中:交易性金融资产(元) 627,572,752.71635,900,187.31633,460,297.03634,709,089.83638,997,223.93607,088,731.43105,020,961.43105,020,961.43105,020,961.43
 应收票据及应收账款(元) 11,422,571,108.5110,184,832,568.3915,329,319,089.4614,143,777,896.5812,227,512,360.4011,386,805,229.8116,341,560,561.7114,748,311,927.6010,960,314,990.46
  其中:应收票据(元) 630,133,623.17616,796,605.78229,522,821.13467,930,365.76426,932,672.74508,238,462.511,192,268,166.421,794,084,928.561,409,229,856.14
  其中:应收账款(元) 10,792,437,485.349,568,035,962.6115,099,796,268.3313,675,847,530.8211,800,579,687.6610,878,566,767.3015,149,292,395.2912,954,226,999.049,551,085,134.32
 预付款项(元) 866,262,346.811,077,697,570.08872,714,623.52602,581,052.14839,417,798.50844,966,767.951,000,322,430.471,118,873,202.131,422,738,166.49
 应收股利(元) -----6,384,843.30---
 其他应收款(元) 4,357,070,527.444,075,587,334.213,816,716,004.813,428,798,760.743,692,204,759.862,137,660,680.844,065,915,473.792,453,341,258.693,514,059,253.35
 存货(元) 2,178,279,430.852,510,642,499.991,959,743,053.101,834,829,186.581,934,516,528.911,574,778,289.081,710,664,947.442,324,850,004.992,446,691,723.16
 合同资产(元) 2,291,035,004.872,330,825,043.752,809,712,191.152,793,130,565.552,675,643,938.943,039,361,835.801,771,485,568.582,191,047,550.862,196,577,452.28
 其他流动资产(元) 765,398,285.86859,514,244.77729,288,855.22665,687,830.35516,807,008.33618,478,594.62463,197,749.42458,137,957.34678,187,863.28
 流动资产合计(元) 29,031,838,738.4632,579,163,884.5730,616,274,362.7430,520,411,726.8228,797,871,251.1232,346,290,148.1831,407,249,574.9629,964,098,568.0630,803,414,006.63
非流动资产:
 债权投资(元) --1,650,000,000.001,650,000,000.001,650,000,000.001,650,000,000.00---
 长期股权投资(元) 80,707,051.8881,333,251.9246,211,540.07214,703,729.39204,392,208.47199,982,208.47217,989,771.17207,629,408.85206,649,408.85
 其他权益工具投资(元) 255,881,060.28255,881,060.28345,114,266.42318,238,828.61307,181,767.02285,181,767.02270,727,363.78270,727,363.78270,727,363.78
 其他非流动金融资产(元) 262,572,338.19262,572,338.1962,588,195.8362,588,195.8362,291,189.0962,588,195.8362,644,489.1862,644,489.1882,957,032.81
 固定资产(元) 10,626,214,091.8010,452,504,002.759,732,068,162.359,142,216,544.988,725,716,727.378,563,291,329.367,824,490,564.436,428,771,393.016,197,476,478.60
 在建工程(元) 1,286,305,299.831,369,715,204.571,792,769,493.632,245,795,413.892,265,037,490.272,049,330,481.212,601,194,794.162,639,947,634.442,097,570,862.69
 使用权资产(元) 200,126,409.96200,044,186.47142,085,940.04153,965,507.71158,425,073.14169,202,828.43185,026,029.60192,286,805.48202,215,311.40
 无形资产(元) 2,364,228,132.722,268,297,121.662,174,613,161.182,175,693,529.262,112,332,349.742,191,235,059.641,929,696,679.611,806,525,319.941,759,014,178.10
 商誉(元) 344,571,374.96344,571,374.96150,279,890.81150,279,890.81150,279,890.81150,279,890.81140,908,154.17140,908,154.17140,908,154.17
 长期待摊费用(元) 42,918,646.0939,198,056.6968,662,623.1768,279,509.0474,563,245.2872,932,831.4642,139,364.3441,632,338.9139,609,471.43
 递延所得税资产(元) 1,008,326,220.97980,776,688.54787,142,063.09703,430,940.88678,258,246.28697,047,337.37633,894,460.19628,821,087.78560,047,324.85
 其他非流动资产(元) 2,346,697,037.792,339,936,424.172,151,433,947.791,864,266,109.932,126,962,710.642,118,417,546.663,478,515,630.563,951,995,845.044,157,023,442.02
 非流动资产合计(元) 18,818,547,664.4718,594,829,710.2019,102,969,284.3818,749,458,200.3318,515,440,898.1118,209,489,476.2617,387,227,301.1916,371,889,840.5815,714,199,028.70
资产总计(元) 47,850,386,402.9351,173,993,594.7749,719,243,647.1249,269,869,927.1547,313,312,149.2350,555,779,624.4448,794,476,876.1546,335,988,408.6446,517,613,035.33
流动负债:
 短期借款(元) 4,103,857,781.974,998,624,477.725,265,334,483.615,589,830,433.204,167,174,892.006,254,330,925.836,716,665,038.534,864,606,944.194,672,176,039.62
 应付票据及应付账款(元) 3,768,414,038.374,297,292,999.764,818,195,431.934,843,524,806.944,098,756,491.134,489,186,529.776,904,941,084.606,046,991,571.964,686,483,914.50
  其中:应付票据(元) 414,832,099.46818,240,802.46452,888,880.20385,448,877.00611,820,365.77588,252,536.003,156,640,045.692,697,660,358.291,319,938,913.50
  其中:应付账款(元) 3,353,581,938.913,479,052,197.304,365,306,551.734,458,075,929.943,486,936,125.363,900,933,993.773,748,301,038.913,349,331,213.673,366,545,001.00
 合同负债(元) 2,824,475,077.463,572,713,013.282,776,779,591.852,571,461,578.442,583,899,586.213,323,551,390.162,576,803,564.252,419,402,206.713,447,211,340.60
 应付职工薪酬(元) 101,551,778.92139,795,646.2593,955,017.3890,998,738.4293,128,748.38122,873,318.1294,049,186.2798,761,445.48103,941,519.57
 应交税费(元) 548,803,338.51606,440,395.43606,589,755.95655,683,518.72561,022,335.24627,685,861.18640,213,376.80805,596,653.82885,302,938.72
 应付股利(元) 39,800.0039,800.0039,800.0039,800.0039,800.0039,800.00521,174.95521,174.95521,174.95
 其他应付款(元) 5,164,311,290.465,432,416,528.554,041,517,765.284,587,977,042.785,223,019,692.586,186,352,339.522,931,418,441.803,334,089,472.353,326,170,916.98
 一年内到期的非流动负债(元) 190,186,416.15297,410,773.72386,971,266.05381,447,766.05526,842,272.25578,359,075.32476,730,660.96481,324,574.13127,584,877.84
 其他流动负债(元) 310,782,771.85392,518,847.25348,136,763.37334,771,380.15321,230,904.51379,020,870.56328,266,570.57329,009,683.34417,657,042.08
 流动负债合计(元) 17,012,422,293.6919,737,252,481.9618,337,519,875.4219,055,735,064.7017,575,114,722.3021,961,400,110.4620,669,609,098.7318,380,303,726.9317,667,049,764.86
非流动负债:
 长期借款(元) 1,244,372,407.211,708,670,178.551,215,963,919.891,070,941,643.041,333,716,319.45543,920,486.11532,035,000.00508,081,666.671,041,836,152.78
 租赁负债(元) 177,540,156.49177,044,897.51106,952,679.57119,933,673.06138,305,683.17150,551,421.42160,901,718.53165,405,857.16180,537,813.23
 长期应付款(元) 52,195,000.0052,560,000.0053,290,000.0053,290,000.0053,882,911.1154,020,000.0059,091,703.6760,811,098.9261,534,896.92
 预计负债(元) 58,930,522.8958,906,953.0134,524,452.5539,319,158.8638,653,133.1936,446,059.0528,893,598.7325,881,068.5836,493,205.14
 递延收益(元) 681,894,829.36689,812,262.93625,932,047.96623,628,451.60599,931,310.34610,423,884.71567,798,045.95519,652,383.48526,461,421.45
 递延所得税负债(元) 42,938,699.1442,938,699.1410,532,512.9110,532,512.9110,532,512.9110,532,512.9117,122,298.0417,122,298.0417,044,180.06
 非流动负债合计(元) 2,257,871,615.092,729,932,991.142,047,195,612.881,917,645,439.472,175,021,870.171,405,894,364.201,365,842,364.921,296,954,372.851,863,907,669.58
负债合计(元) 19,270,293,908.7822,467,185,473.1020,384,715,488.3020,973,380,504.1719,750,136,592.4723,367,294,474.6622,035,451,463.6519,677,258,099.7819,530,957,434.44
所有者权益(或股东权益):
 实收资本或股本(元) 2,518,464,191.002,518,464,191.002,518,464,191.002,518,464,191.002,518,464,191.002,518,464,191.002,519,771,708.002,519,639,585.002,519,627,295.00
 资本公积(元) 10,422,186,648.4910,422,186,648.4910,740,011,076.6410,731,088,628.3910,701,710,682.6210,721,493,283.5410,812,247,660.9310,899,563,729.9310,856,655,168.63
 减:库存股(元) 1,719,726,083.061,242,192,156.531,121,608,787.151,121,608,787.151,121,608,787.151,121,608,787.151,232,847,689.06727,078,647.66458,207,025.05
 其他综合收益(元) -12,558,853.46-15,145,802.1428,794,972.9830,774,581.0825,591,347.3524,057,640.4347,092,662.4648,441,031.6132,668,840.87
 盈余公积(元) 592,009,699.39592,009,699.39543,827,204.85543,827,204.85543,827,204.85543,827,204.85392,980,880.64392,980,880.64392,980,880.64
 未分配利润(元) 16,446,414,381.0216,098,691,927.3016,225,525,079.3415,206,159,812.4714,506,487,075.4314,120,949,080.0213,804,563,670.4013,117,894,868.0913,221,236,614.46
 归属于母公司股东权益合计(元) 28,246,789,983.3828,374,014,507.5128,935,013,737.6627,908,705,630.6427,174,471,714.1026,807,182,612.6926,343,808,893.3726,251,441,447.6126,564,961,774.55
 少数股东权益(元) 333,302,510.77332,793,614.16399,514,421.16387,783,792.34388,703,842.66381,302,537.09415,216,519.13407,288,861.25421,693,826.34
 股东权益合计(元) 28,580,092,494.1528,706,808,121.6729,334,528,158.8228,296,489,422.9827,563,175,556.7627,188,485,149.7826,759,025,412.5026,658,730,308.8626,986,655,600.89
负债和股东权益合计(元) 47,850,386,402.9351,173,993,594.7749,719,243,647.1249,269,869,927.1547,313,312,149.2350,555,779,624.4448,794,476,876.1546,335,988,408.6446,517,613,035.33
公告日期 2024-04-242024-04-192023-10-262023-08-102023-04-262023-04-132022-10-262022-08-232022-04-28
审计意见(境内) 标准无保留意见标准无保留意见
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