山煤国际 (600546.sh)

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资产负债表(山煤国际)

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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) 8,841,781,889.626,371,715,955.417,712,026,351.838,508,364,373.3211,265,437,170.7710,255,378,148.889,923,901,609.659,786,432,927.5011,433,418,561.46
 应收票据及应收账款(元) 597,012,819.68398,103,338.58913,621,258.811,068,886,733.941,377,037,801.041,794,841,382.271,777,858,988.071,381,226,578.431,782,367,903.78
  其中:应收票据(元) --80,829,762.43179,976,321.78163,327,501.42384,709,897.06163,262,923.33312,675,380.84582,467,347.51
  其中:应收账款(元) 597,012,819.68398,103,338.58832,791,496.38888,910,412.161,213,710,299.621,410,131,485.211,614,596,064.741,068,551,197.591,199,900,556.27
 预付款项(元) 707,032,094.08563,916,828.25718,817,509.70997,177,947.45936,999,785.40376,891,105.13622,890,804.021,146,964,719.33926,738,211.22
 其他应收款(元) 108,647,803.5163,549,827.78167,594,391.01158,625,384.19135,795,942.5199,302,440.14242,239,677.91201,991,661.72152,107,222.19
 存货(元) 702,906,695.79503,161,611.66761,116,718.76750,221,761.16783,985,994.301,015,648,771.83902,329,517.841,074,689,002.50773,699,269.40
 合同资产(元) ------28,545,329.828,188,574.3412,792,900.12
 一年内到期的非流动资产(元) 106,677,914.42106,677,914.42-------
 其他流动资产(元) 292,962,782.74322,110,643.86237,342,904.29231,983,890.50287,009,551.99228,138,953.08304,166,009.46127,235,324.89159,824,656.01
 流动资产合计(元) 11,494,023,645.908,500,176,452.4710,775,327,278.2211,938,704,211.7014,991,793,160.4014,202,551,574.1714,470,016,465.2814,224,282,027.5115,620,088,319.74
非流动资产:
 长期应收款(元) 255,973,558.83253,889,258.58142,533,800.00142,533,800.0068,048,632.0068,048,632.0068,048,632.0068,048,632.0084,048,632.00
 长期股权投资(元) 665,643,303.67654,707,857.26652,423,514.72644,388,947.69637,864,635.06634,604,510.38711,182,060.86744,610,170.94746,837,310.63
 其他权益工具投资(元) 2,300,995,781.822,300,995,781.822,284,890,654.18384,890,654.18384,890,654.18384,890,654.18388,343,604.43388,343,604.43388,343,604.43
 投资性房地产(元) 167,952,480.34168,992,758.09170,344,858.84171,385,136.59172,425,414.34173,465,692.09175,283,660.79176,323,938.54176,911,912.81
 固定资产(元) 18,598,889,074.6718,733,353,452.4417,264,774,071.6717,156,888,035.6114,748,317,733.6114,905,603,324.2714,531,396,799.8214,311,110,305.8314,426,385,832.62
 在建工程(元) 2,488,343,054.962,406,187,780.862,801,927,234.232,849,505,908.505,070,274,647.024,963,712,674.124,942,337,166.734,840,707,654.424,607,722,091.88
 使用权资产(元) 119,938,897.41132,827,232.1758,468,796.5814,692,213.7118,367,284.4117,473,770.1120,344,766.22216,245,057.15222,784,907.70
 无形资产(元) 5,723,250,362.035,828,057,373.935,718,366,489.365,818,138,828.495,916,667,772.135,986,886,281.106,076,005,929.306,049,645,042.216,131,678,737.59
 开发支出(元) ------4,391,051.274,096,361.004,096,361.00
 长期待摊费用(元) 318,868,908.90329,754,072.07626,902,452.16456,235,340.60596,762,290.35638,638,938.85785,678,671.25851,554,837.51943,865,919.74
 递延所得税资产(元) 219,339,976.92210,096,946.13457,730,411.51457,730,411.51514,735,675.30168,212,704.05218,091,650.19218,091,650.19238,575,050.40
 其他非流动资产(元) 1,102,191,455.531,098,188,447.531,171,585,086.403,108,219,007.403,106,732,307.403,132,088,991.401,303,111,446.391,282,934,445.651,283,914,184.91
 非流动资产合计(元) 31,961,386,855.0832,117,050,960.8831,349,947,369.6531,204,608,284.2831,235,087,045.8031,073,626,172.5529,224,215,439.2529,151,711,699.8729,255,164,545.71
资产总计(元) 43,455,410,500.9840,617,227,413.3542,125,274,647.8743,143,312,495.9846,226,880,206.2045,276,177,746.7243,694,231,904.5343,375,993,727.3844,875,252,865.45
流动负债:
 短期借款(元) 500,000,000.00500,000,000.001,094,107,574.021,593,500,493.471,593,622,091.471,638,553,757.72994,034,516.471,570,515,203.441,770,901,439.89
 应付票据及应付账款(元) 4,208,398,074.054,765,987,607.714,417,006,336.813,681,826,730.984,085,040,724.554,226,958,638.264,696,700,916.924,585,457,368.954,453,387,614.88
  其中:应付票据(元) 174,530,216.74151,479,631.74602,362,131.5865,339.5015,055,043.5063,355,043.50121,796,195.7873,496,195.78700,065,339.50
  其中:应付账款(元) 4,033,867,857.314,614,507,975.973,814,644,205.233,681,761,391.484,069,985,681.054,163,603,594.764,574,904,721.144,511,961,173.173,753,322,275.38
 预收款项(元) 361,310.69296,997.36560,130.831,230,019.33195,168.65268,422.11938,218.501,054,426.46886,810.30
 合同负债(元) 2,360,304,761.681,902,791,813.922,903,136,046.213,554,663,857.064,050,923,998.445,012,454,084.713,806,633,430.664,096,737,813.723,996,756,308.18
 应付职工薪酬(元) 693,860,829.84936,041,883.72588,002,786.73658,684,914.00634,870,980.69799,542,114.73464,774,526.99511,660,838.67482,977,300.55
 应交税费(元) 579,407,088.04794,595,001.53948,395,276.99935,919,125.421,408,381,081.502,067,804,971.621,929,804,385.601,617,608,200.332,468,242,896.18
 应付利息(元) 325,020.38325,020.3817,545,594.4417,545,594.4417,545,594.4417,545,594.4417,545,594.4417,545,594.4417,545,594.44
 应付股利(元) 235,040,838.10455,269,211.13382,220,755.232,030,317,261.652,084,132,265.182,128,657,765.18405,036,330.5837,609,989.5773,802,956.74
 其他应付款(元) 1,800,793,986.092,610,242,864.942,163,774,319.011,333,937,605.571,323,153,360.701,404,017,481.261,275,945,629.611,159,802,669.26995,421,810.80
 一年内到期的非流动负债(元) 324,477,213.16324,207,995.712,897,525,137.633,204,099,261.002,072,129,344.872,080,443,528.912,945,047,982.173,706,636,485.563,372,127,438.52
 其他流动负债(元) 266,161,293.79220,748,637.04423,743,449.65600,371,431.09606,210,659.771,010,017,916.06797,986,774.63775,073,824.06885,349,516.68
 流动负债合计(元) 10,969,130,415.8212,510,507,033.4415,836,017,407.5517,612,096,294.0117,876,205,270.2620,386,264,275.0017,334,448,306.5718,079,702,414.4618,517,399,687.16
非流动负债:
 长期借款(元) 8,079,800,671.294,651,242,638.522,408,073,516.272,292,074,834.143,707,042,679.373,468,248,410.244,685,560,240.005,595,360,240.006,501,360,240.00
 租赁负债(元) 83,409,761.4773,366,435.0756,897,085.3610,658,105.2912,447,960.948,374,029.7511,218,505.8213,877,990.4317,864,763.85
 长期应付款(元) 238,376,720.00238,376,720.00239,776,720.00239,776,720.00241,421,945.00241,995,293.00243,943,386.66277,815,428.26290,883,886.59
 预计负债(元) 2,528,898,577.052,521,917,897.662,503,454,224.962,411,166,994.642,407,653,831.542,364,619,263.932,351,556,550.622,323,562,158.362,294,226,519.80
 递延收益(元) 76,501,518.7577,596,452.0680,576,981.2381,670,247.8882,765,181.1983,860,114.5084,464,158.9384,822,758.9285,414,345.55
 递延所得税负债(元) 13,662,251.1912,320,052.06219,032,399.69219,032,399.69219,032,399.694,501,498.844,928,191.664,928,191.664,928,191.66
 非流动负债合计(元) 11,020,649,499.757,574,820,195.375,507,810,927.515,254,379,301.646,670,363,997.736,171,598,610.267,381,671,033.698,300,366,767.639,194,677,947.45
负债合计(元) 21,989,779,915.5720,085,327,228.8121,343,828,335.0622,866,475,595.6524,546,569,267.9926,557,862,885.2624,716,119,340.2626,380,069,182.0927,712,077,634.61
所有者权益(或股东权益):
 实收资本或股本(元) 1,982,456,140.001,982,456,140.001,982,456,140.001,982,456,140.001,982,456,140.001,982,456,140.001,982,456,140.001,982,456,140.001,982,456,140.00
 资本公积(元) 3,382,302,090.393,382,302,090.393,351,382,009.473,351,382,009.473,351,382,009.473,351,382,009.473,351,382,009.473,351,382,009.473,351,382,009.47
 其他综合收益(元) -3,970,930.75-3,970,930.75-12,874,329.29-12,874,329.29-12,874,329.29-12,874,329.29-10,248,498.75-10,248,498.75-10,248,498.75
 专项储备(元) 658,878,771.92603,487,608.79751,470,417.29756,336,604.15700,413,832.08612,451,820.37752,325,735.66641,116,937.82530,212,235.34
 盈余公积(元) 991,228,070.00991,228,070.00991,228,070.00991,228,070.00991,228,070.00991,228,070.00642,920,948.72642,920,948.72642,920,948.72
 未分配利润(元) 9,305,717,993.548,722,501,070.638,550,343,919.617,626,122,328.789,823,039,366.668,088,770,339.466,849,698,073.555,889,078,242.387,107,666,131.19
 归属于母公司股东权益合计(元) 16,316,612,135.1015,678,004,049.0615,614,006,227.0814,694,650,823.1116,835,645,088.9215,013,414,050.0113,568,534,408.6512,496,705,779.6413,604,388,965.97
 少数股东权益(元) 5,149,018,450.314,853,896,135.485,167,440,085.735,582,186,077.224,844,665,849.293,704,900,811.455,409,578,155.624,499,218,765.653,558,786,264.87
 股东权益合计(元) 21,465,630,585.4120,531,900,184.5420,781,446,312.8120,276,836,900.3321,680,310,938.2118,718,314,861.4618,978,112,564.2716,995,924,545.2917,163,175,230.84
负债和股东权益合计(元) 43,455,410,500.9840,617,227,413.3542,125,274,647.8743,143,312,495.9846,226,880,206.2045,276,177,746.7243,694,231,904.5343,375,993,727.3844,875,252,865.45
公告日期 2024-04-272024-03-302023-10-282023-08-262023-04-282023-03-282022-10-292022-08-272022-04-30
审计意见(境内) 标准无保留意见标准无保留意见
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