华阳股份 (600348.sh)

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资产负债表(华阳股份)

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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
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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) 15,771,496,341.8514,497,415,392.1016,209,308,244.4416,652,349,757.1018,128,896,549.3017,434,668,773.0416,126,012,817.2216,523,192,836.6915,885,060,631.01
 应收票据及应收账款(元) 2,127,108,519.631,972,209,476.001,932,201,101.132,019,947,486.051,884,951,408.961,839,003,883.982,239,751,716.402,262,968,979.612,362,042,911.84
  其中:应收账款(元) 2,127,108,519.631,972,209,476.001,932,201,101.132,019,947,486.051,884,951,408.961,839,003,883.982,239,751,716.402,262,968,979.612,362,042,911.84
 预付款项(元) 599,306,896.74410,503,203.06603,681,218.48412,595,566.15579,135,728.22419,776,150.05347,206,592.48598,600,203.81228,653,650.97
 其他应收款(元) 55,269,372.0055,043,713.0066,430,099.7068,523,164.2066,688,315.6462,981,441.80112,374,928.2778,966,754.3957,245,681.35
 存货(元) 720,790,096.95676,990,501.34740,327,026.06706,672,647.98698,911,411.06698,059,642.80711,812,803.16804,414,079.08544,438,537.36
 合同资产(元) 136,142,894.28122,841,466.22119,007,694.89104,222,023.19107,578,976.9090,111,882.0276,735,506.0561,008,758.5853,075,830.01
 其他流动资产(元) 88,379,828.69120,778,319.78114,551,810.96381,828,997.12434,831,082.43467,502,629.86312,182,993.47235,425,823.52256,007,649.14
 流动资产合计(元) 19,667,533,477.8618,122,875,526.1119,940,323,579.3220,487,599,678.5022,180,813,829.1521,724,890,520.4121,004,159,334.9022,280,220,064.7322,330,839,139.21
非流动资产:
 长期股权投资(元) 1,274,566,868.301,254,667,995.811,309,808,397.321,286,999,560.061,268,565,595.691,246,028,058.381,310,044,506.231,287,156,948.241,240,066,194.20
 其他权益工具投资(元) 44,400,000.0044,400,000.0051,600,000.0051,600,000.0051,600,000.0051,600,000.0042,780,000.0042,780,000.0042,780,000.00
 其他非流动金融资产(元) 181,442,474.07181,442,474.07151,458,464.62151,458,464.62151,458,464.62151,458,464.62146,793,478.02145,299,478.02145,299,478.02
 固定资产(元) 28,443,019,312.5028,846,415,641.3822,345,594,578.2822,683,637,844.4222,866,879,451.6123,244,335,627.9022,926,695,789.2323,262,078,252.7223,541,870,693.42
 在建工程(元) 11,471,344,709.7510,760,636,584.1715,167,407,553.1313,735,275,974.0612,752,219,907.9911,947,305,386.2111,280,209,484.969,799,106,543.589,246,348,067.79
 使用权资产(元) 395,544,508.45395,733,696.75365,355,507.22374,359,100.02384,533,383.10394,411,849.53413,858,549.29422,185,548.03432,457,235.36
 无形资产(元) 6,220,354,251.686,282,090,174.496,102,418,341.386,167,409,997.426,244,052,251.746,321,969,084.625,840,327,009.285,943,889,653.405,079,464,243.75
 开发支出(元) 50,000,000.0050,000,000.00-------
 长期待摊费用(元) 45,979,478.7947,114,255.0645,245,413.3840,544,966.4942,966,755.2244,459,126.2145,508,615.2745,089,310.8838,267,565.36
 递延所得税资产(元) 1,089,968,016.711,089,968,016.71982,081,638.64982,081,638.64993,347,025.80993,347,025.801,116,437,488.151,116,437,488.151,116,437,488.15
 其他非流动资产(元) 4,537,789,962.244,495,698,883.373,842,985,589.023,790,255,715.953,747,081,862.423,799,990,764.753,750,959,740.143,355,723,913.243,656,945,777.74
 非流动资产合计(元) 53,754,409,582.4953,448,167,721.8150,363,955,482.9949,263,623,261.6848,502,704,698.1948,194,905,388.0246,873,614,660.5745,419,747,136.2644,539,936,743.79
资产总计(元) 73,421,943,060.3571,571,043,247.9270,304,279,062.3169,751,222,940.1870,683,518,527.3469,919,795,908.4367,877,773,995.4767,699,967,200.9966,870,775,883.00
流动负债:
 短期借款(元) 3,805,082,797.022,780,000,000.002,644,000,000.002,891,000,000.003,086,000,000.004,791,000,000.006,636,000,000.007,735,216,060.409,197,216,060.40
 应付票据及应付账款(元) 9,899,580,030.8111,373,894,273.6510,406,229,098.0010,493,540,486.2610,009,137,936.4611,026,441,991.1211,374,081,295.5512,126,308,095.0312,172,586,598.74
  其中:应付票据(元) 1,503,659,116.961,658,510,155.042,048,064,721.621,987,887,089.891,486,055,932.341,599,853,388.02235,491,996.741,002,026,609.001,079,376,609.00
  其中:应付账款(元) 8,395,920,913.859,715,384,118.618,358,164,376.388,505,653,396.378,523,082,004.129,426,588,603.1011,138,589,298.8111,124,281,486.0311,093,209,989.74
 预收款项(元) 408,158.821,346,575.12830,109.83--1,901,213.99---
 合同负债(元) 2,131,635,177.082,127,947,608.422,266,864,205.452,171,735,142.302,426,246,406.752,414,971,116.612,056,878,754.891,806,295,320.761,955,985,944.45
 应付职工薪酬(元) 1,038,922,892.551,272,945,496.371,170,046,706.521,224,532,189.901,227,163,110.801,573,902,251.391,011,319,242.091,192,749,076.151,260,063,607.14
 应交税费(元) 567,386,519.871,104,723,974.77858,400,265.11816,125,088.78684,503,977.012,011,460,092.131,042,890,518.391,133,982,876.121,645,522,990.83
 应付股利(元) -6,000,000.00-----1,222,283,200.0032,889,900.00
 其他应付款(元) 1,624,424,448.201,625,422,354.361,659,444,800.431,602,971,145.801,668,328,213.111,671,828,999.182,063,411,317.632,045,599,812.591,815,029,147.43
 一年内到期的非流动负债(元) 4,081,204,288.335,340,058,945.281,365,941,421.021,365,941,421.021,310,820,535.801,310,820,535.80358,135,354.401,742,117,959.971,836,699,443.44
 其他流动负债(元) 293,695,165.64275,421,945.02292,752,187.79282,460,407.09312,470,458.07310,807,696.39294,764,452.95234,335,450.89254,507,502.54
 流动负债平衡项目(元) -----0.01----
 流动负债合计(元) 23,442,339,478.3225,907,761,172.9920,664,508,794.1520,848,305,881.1520,724,670,637.9925,113,133,896.6124,837,480,935.9029,238,887,851.9130,170,501,194.97
非流动负债:
 长期借款(元) 12,278,084,951.5811,042,034,657.2813,962,741,780.9613,527,341,780.9612,893,548,447.6410,047,287,242.217,891,177,300.006,654,140,000.006,130,140,000.00
 应付债券(元) --1,472,069,995.011,498,063,000.002,664,662,384.052,683,054,000.063,682,362,486.462,184,178,403.322,225,105,384.65
 优先股(元) ---988,660,377.37988,660,377.37988,660,377.37988,660,377.37988,660,377.37988,660,377.37
 永续债(元) 1,996,000,000.00-----992,452,830.19992,452,830.19992,452,830.19
 租赁负债(元) 404,043,083.55387,391,176.83267,353,081.18271,698,685.59282,346,636.82301,005,703.73312,557,743.29329,575,089.02322,121,288.22
 长期应付款(元) 623,582,218.83644,766,564.35595,888,609.51594,633,602.84690,944,408.98736,203,846.23159,305,553.29167,470,816.83220,318,815.25
 预计负债(元) 894,862,811.92918,131,699.92861,562,151.02879,427,506.24886,417,379.27884,844,989.20915,177,189.08924,934,353.42921,734,726.94
 递延收益(元) 499,220,589.94504,093,427.77500,142,829.83518,005,393.52535,883,150.68541,310,908.29518,540,645.27530,216,224.24541,572,047.27
 递延所得税负债(元) 388,882.59388,882.59852,055.04852,055.04789,298.77789,298.77192,519,813.50192,519,813.50192,519,813.50
 非流动负债合计(元) 14,700,182,538.4113,496,806,408.7417,660,610,502.5517,290,022,024.1917,954,591,706.2115,194,495,988.4913,671,640,730.8910,983,034,700.3310,553,512,075.83
负债合计(元) 38,142,522,016.7339,404,567,581.7338,325,119,296.7038,138,327,905.3438,679,262,344.2040,307,629,885.1038,509,121,666.7940,221,922,552.2440,724,013,270.80
所有者权益(或股东权益):
 实收资本或股本(元) 3,607,500,000.003,607,500,000.003,607,500,000.003,607,500,000.002,405,000,000.002,405,000,000.002,405,000,000.002,405,000,000.002,405,000,000.00
 其他权益工具(元) 1,996,000,000.00--988,660,377.37988,660,377.37988,660,377.371,981,113,207.561,981,113,207.561,981,113,207.56
 资本公积(元) 62,925,134.0062,925,134.0055,222,798.2666,562,420.8966,562,420.8966,562,420.8986,371,822.7586,371,822.7586,371,822.75
 其他综合收益(元) 31,765,531.5731,729,869.8138,345,209.6338,823,046.3633,709,522.1135,665,019.7630,117,709.3424,600,763.4619,950,790.79
 专项储备(元) 1,441,740,577.031,274,402,438.812,179,727,123.292,221,113,758.972,084,337,348.361,807,194,846.832,022,636,773.331,887,096,440.891,670,575,152.30
 盈余公积(元) 2,668,856,057.012,668,856,057.012,398,182,728.442,398,182,728.442,400,716,792.492,400,716,792.492,020,134,811.762,020,134,811.762,020,134,811.76
 未分配利润(元) 21,085,347,341.0620,218,025,820.2419,597,282,977.4018,385,395,864.9320,421,351,459.9418,694,381,663.1917,164,444,434.2715,576,625,728.9314,758,337,988.32
 归属于母公司股东权益合计(元) 30,894,134,640.6727,863,439,319.8727,876,260,837.0227,706,238,196.9628,400,337,921.1626,398,181,120.5325,709,818,759.0123,980,942,775.3522,941,483,773.48
 少数股东权益(元) 4,385,286,402.954,303,036,346.324,102,898,928.593,906,656,837.883,603,918,261.983,213,984,902.803,658,833,569.673,497,101,873.403,205,278,838.72
 股东权益合计(元) 35,279,421,043.6232,166,475,666.1931,979,159,765.6131,612,895,034.8432,004,256,183.1429,612,166,023.3329,368,652,328.6827,478,044,648.7526,146,762,612.20
负债和股东权益合计(元) 73,421,943,060.3571,571,043,247.9270,304,279,062.3169,751,222,940.1870,683,518,527.3469,919,795,908.4367,877,773,995.4767,699,967,200.9966,870,775,883.00
公告日期 2024-04-292024-04-192023-10-282023-08-252023-04-282023-04-152022-10-292022-08-312022-04-29
审计意见(境内) 标准无保留意见标准无保留意见
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