瀚蓝环境 (600323.sh)

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资产负债表(瀚蓝环境)

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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) 1,821,099,649.151,523,196,654.922,367,394,584.161,418,071,554.221,033,295,120.751,106,553,388.871,220,620,733.951,216,328,212.391,056,288,352.84
 应收票据及应收账款(元) 3,798,644,097.103,279,580,136.833,281,507,237.653,541,178,923.783,208,066,983.772,784,252,165.962,739,584,064.932,373,725,268.952,045,767,375.28
  其中:应收票据(元) 3,339,829.865,893,435.002,865,421.0014,828,165.49631,000.002,938,936.00215,000.001,050,000.001,169,913.96
  其中:应收账款(元) 3,795,304,267.243,273,686,701.833,278,641,816.653,526,350,758.293,207,435,983.772,781,313,229.962,739,369,064.932,372,675,268.952,044,597,461.32
 预付款项(元) 172,393,905.33201,157,218.71127,087,446.81239,334,916.85152,341,703.51171,458,855.82234,946,893.88250,793,472.24253,603,689.16
 应收保费(元) ----208,208,433.70----
 其他应收款(元) 156,299,973.01162,733,514.57209,378,100.04196,504,537.44-201,115,864.56131,842,119.77125,776,852.37126,643,405.96
 存货(元) 270,216,498.33235,214,184.15280,144,866.71290,922,964.99278,989,793.34263,914,065.13307,972,335.03287,299,353.88277,736,667.55
 合同资产(元) 1,466,638,432.581,613,549,220.951,474,625,609.781,466,505,564.101,272,109,154.411,092,427,022.06882,223,855.95756,773,271.48551,169,748.09
 一年内到期的非流动资产(元) ------1,307,734.161,307,734.161,307,734.16
 其他流动资产(元) 777,245,727.77791,288,013.51856,587,453.81862,691,212.62847,465,737.17811,896,110.38823,497,733.73796,388,357.27847,250,697.23
 流动资产合计(元) 8,463,223,438.977,807,503,085.298,598,018,778.748,015,930,857.007,000,676,926.656,431,647,472.786,341,995,471.405,808,392,522.745,159,767,670.27
非流动资产:
 长期应收款(元) 86,854,617.8885,883,546.7881,901,260.1276,376,058.4573,506,199.5662,734,857.8960,769,322.5049,879,969.9149,292,097.09
 长期股权投资(元) 1,138,335,077.941,075,280,146.84755,016,875.27725,450,420.01725,856,479.62719,794,581.75696,793,157.48678,742,763.69560,777,996.41
 其他权益工具投资(元) 36,451,314.3836,451,314.3838,205,327.9938,205,327.9938,205,327.9938,205,327.9934,570,069.0034,570,069.0034,570,069.00
 其他非流动金融资产(元) 2,266,180.332,391,180.332,315,885.582,505,647.842,505,647.842,505,647.842,859,098.362,859,098.362,859,098.36
 投资性房地产(元) 615,782.94623,702.34631,621.74639,541.14647,460.54655,379.94663,299.34671,218.73679,138.14
 固定资产(元) 5,658,011,764.335,739,760,994.245,530,072,467.665,586,392,962.945,606,892,723.865,610,596,832.535,411,405,555.945,452,546,118.425,427,044,735.54
 在建工程(元) 287,998,543.66281,598,739.10459,562,269.02424,132,158.36360,229,426.34357,368,763.93413,170,406.39392,759,511.00328,414,104.59
 使用权资产(元) 124,590,424.65116,876,832.06130,976,191.48134,277,065.86138,027,627.97149,064,217.43136,713,156.52137,754,619.20130,831,077.50
 无形资产(元) 12,033,183,428.4211,835,787,811.2510,850,306,105.1111,127,663,525.3910,851,227,456.2910,688,645,615.0710,460,291,568.4810,016,370,492.769,721,838,159.83
 商誉(元) 413,104,076.20413,104,076.20413,104,076.20413,104,076.20413,104,076.20413,104,076.20413,104,076.20413,104,076.20413,104,076.20
 长期待摊费用(元) 106,797,605.92114,818,988.61110,119,742.82112,221,374.73116,058,740.54117,410,876.84108,030,072.22101,962,145.23102,430,469.38
 递延所得税资产(元) 260,562,867.79263,975,039.15290,532,414.43304,928,447.09252,405,864.17260,654,600.25211,822,063.17202,704,670.32202,759,219.90
 其他非流动资产(元) 7,931,725,099.788,023,644,014.818,882,690,935.338,440,239,854.248,598,496,103.128,435,385,181.998,183,130,266.938,090,265,561.347,910,417,152.20
 非流动资产合计(元) 28,080,496,784.2227,990,196,386.0927,545,435,172.7527,386,136,460.2427,177,163,134.0426,856,125,959.6526,133,322,112.5325,574,190,314.1624,885,017,394.14
资产总计(元) 36,543,720,223.1935,797,699,471.3836,143,453,951.4935,402,067,317.2434,177,840,060.6933,287,773,432.4332,475,317,583.9331,382,582,836.9030,044,785,064.41
流动负债:
 短期借款(元) 1,796,285,058.121,963,936,003.481,898,134,598.351,697,740,775.081,608,621,596.821,776,097,245.691,251,884,529.251,167,931,310.731,105,551,441.83
 应付票据及应付账款(元) 3,174,567,690.963,374,315,468.733,265,919,831.873,322,985,372.123,196,549,574.573,452,796,017.733,094,785,419.902,872,346,622.072,840,479,376.23
  其中:应付票据(元) 63,799,000.0084,538,356.5095,100,079.43123,628,954.3195,250,821.78123,437,947.65111,012,497.03107,179,630.7468,032,610.49
  其中:应付账款(元) 3,110,768,690.963,289,777,112.233,170,819,752.443,199,356,417.813,101,298,752.793,329,358,070.082,983,772,922.872,765,166,991.332,772,446,765.74
 合同负债(元) 304,755,581.25296,147,269.79331,143,110.97326,421,070.01281,034,057.35237,648,379.89292,227,839.74305,806,485.77263,573,531.04
 应付职工薪酬(元) 176,861,083.97293,597,161.19235,047,714.81191,782,594.81160,142,422.87278,804,222.30229,716,213.86194,246,642.66142,250,720.42
 应交税费(元) 318,533,704.90328,001,793.35325,025,763.74267,186,508.95226,365,337.05190,244,832.75197,117,915.16182,005,472.73176,163,049.67
 应付股利(元) ---179,377,824.62--50,000.00179,376,372.12-
 其他应付款(元) 782,557,064.19801,269,768.35702,370,172.07587,799,910.17689,224,556.35639,953,556.35677,676,032.41646,694,852.91629,296,809.71
 一年内到期的非流动负债(元) 2,658,775,050.242,328,898,459.513,721,035,782.633,633,657,796.162,647,578,713.332,704,643,084.122,004,054,247.151,759,800,957.901,501,001,795.40
 其他流动负债(元) 554,418,392.44522,074,763.46521,731,942.70587,101,032.98592,960,516.15586,420,349.541,090,365,793.761,083,487,686.841,086,496,862.17
 流动负债合计(元) 9,766,753,626.079,908,240,687.8611,000,408,917.1410,794,052,884.909,402,476,774.499,866,607,688.378,837,877,991.238,391,696,403.737,744,813,586.47
非流动负债:
 长期借款(元) 9,832,104,189.6010,345,857,999.1110,261,560,185.839,944,362,738.659,816,774,532.208,773,136,755.378,530,956,453.908,456,401,325.608,343,463,198.39
 应付债券(元) 1,504,364,640.62501,415,473.99-256,275,000.00817,796,974.33811,004,474.321,575,978,978.151,313,227,894.821,064,720,894.82
 租赁负债(元) 98,357,797.7891,528,468.43101,944,730.87102,990,461.23117,569,628.99121,794,397.14122,073,017.18121,579,749.50115,146,713.02
 长期应付职工薪酬(元) 23,964,901.5425,097,330.7024,548,873.5924,850,994.0525,087,694.0525,533,654.0525,887,526.5825,887,526.5825,887,526.58
 预计负债(元) 36,104,313.2635,748,388.5735,293,072.8334,894,313.9534,500,060.4334,110,261.4146,680,973.7746,200,474.2245,678,478.03
 递延收益(元) 1,501,091,540.291,511,820,757.031,579,133,110.621,589,547,440.311,574,069,406.431,549,780,312.451,574,149,516.251,605,316,759.491,551,191,998.40
 递延所得税负债(元) 559,198,002.96538,120,253.38579,141,694.26567,853,396.47514,562,580.05506,483,462.25477,046,561.13465,336,264.61448,148,727.95
 非流动负债合计(元) 13,555,185,386.0513,049,588,671.2112,581,621,668.0012,520,774,344.6612,900,360,876.4811,821,843,316.9912,352,773,026.9612,033,949,994.8211,594,237,537.19
负债合计(元) 23,321,939,012.1222,957,829,359.0723,582,030,585.1423,314,827,229.5622,302,837,650.9721,688,451,005.3621,190,651,018.1920,425,646,398.5519,339,051,123.66
所有者权益(或股东权益):
 实收资本或股本(元) 815,347,146.00815,347,146.00815,347,146.00815,347,146.00815,347,146.00815,347,146.00815,347,146.00815,347,146.00815,347,146.00
 资本公积(元) 2,442,863,134.822,442,863,134.822,442,269,180.272,442,269,180.272,442,269,180.272,454,938,969.622,454,938,969.622,454,938,969.622,454,938,969.62
 其他综合收益(元) 2,945,119.3212,361,003.078,250,029.128,250,029.128,250,029.128,250,029.125,523,584.885,523,584.885,523,584.88
 专项储备(元) 66,354,605.8363,035,960.7768,790,753.8270,464,384.4867,060,731.0864,898,167.9662,922,568.3260,892,347.3958,109,538.68
 盈余公积(元) 428,301,372.69428,301,372.69427,524,503.73427,524,503.73427,524,503.73427,524,503.73406,617,615.79406,617,615.79406,617,615.79
 未分配利润(元) 8,738,016,946.448,357,038,045.468,098,934,803.547,622,906,059.467,422,374,229.737,112,239,731.056,854,505,432.696,536,419,751.316,325,268,312.96
 归属于母公司股东权益合计(元) 12,493,828,325.1012,118,946,662.8111,861,116,416.4811,386,761,303.0611,182,825,819.9310,883,198,547.4810,599,855,317.3010,279,739,414.9910,065,805,167.93
 少数股东权益(元) 727,952,885.97720,923,449.50700,306,949.87700,478,784.62692,176,589.79716,123,879.59684,811,248.44677,197,023.36639,928,772.82
 股东权益合计(元) 13,221,781,211.0712,839,870,112.3112,561,423,366.3512,087,240,087.6811,875,002,409.7211,599,322,427.0711,284,666,565.7410,956,936,438.3510,705,733,940.75
负债和股东权益合计(元) 36,543,720,223.1935,797,699,471.3836,143,453,951.4935,402,067,317.2434,177,840,060.6933,287,773,432.4332,475,317,583.9331,382,582,836.9030,044,785,064.41
公告日期 2024-04-302024-04-122023-10-272023-08-182023-04-282023-04-072022-10-272022-08-192022-04-29
审计意见(境内) 标准无保留意见标准无保留意见
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