明阳智能 (601615.sh)

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资产负债表(明阳智能)

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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) 12,930,930,979.3412,959,359,723.4410,274,696,396.529,436,342,106.429,684,696,799.3111,157,064,897.6812,399,722,082.7710,579,231,615.4412,087,610,778.40
  其中:交易性金融资产(元) 1,200,330.311,252,856.9250,127,083.33--200,182,291.67-233,657,024.45-
 应收票据及应收账款(元) 14,105,559,088.7813,931,173,603.0415,137,969,560.3311,853,160,558.6810,291,017,419.2110,773,783,527.4910,912,591,426.548,922,184,731.557,518,076,423.30
  其中:应收票据(元) 23,990,256.218,285,883.5522,898,370.84576,127.50---4,260,750.0017,693,900.25
  其中:应收账款(元) 14,081,568,832.5713,922,887,719.4915,115,071,189.4911,852,584,431.1810,291,017,419.2110,773,783,527.4910,912,591,426.548,917,923,981.557,500,382,523.05
 预付款项(元) 933,576,231.82765,185,397.591,196,348,642.361,450,128,442.001,286,957,105.67843,632,141.93953,454,736.39671,666,477.16464,241,423.22
 应收股利(元) 76,049,647.0076,049,647.00110,723,756.6393,143,756.636,143,756.636,143,756.63107,161,097.67--
 其他应收款(元) 762,389,374.19747,171,716.55799,596,271.04797,291,416.66875,018,434.94777,952,414.80646,235,062.54601,297,098.32640,900,057.01
 存货(元) 10,075,787,172.669,668,695,281.7612,608,524,234.6612,196,160,727.4410,139,994,620.478,024,077,123.537,517,744,479.929,284,043,207.8510,557,073,555.50
 合同资产(元) 828,619,231.51809,011,938.98794,860,353.83494,449,578.68499,537,401.16652,644,533.38502,201,219.15651,620,358.23648,836,374.02
 持有待售资产(元) ------1,986,680.621,986,680.621,986,680.62
 一年内到期的非流动资产(元) 1,440,655,088.151,522,949,500.261,805,445,430.531,346,570,938.89952,981,908.33630,240,740.00---
 其他流动资产(元) 2,298,909,326.222,094,947,559.401,820,051,121.581,802,416,830.591,684,111,135.591,222,759,900.671,130,099,154.17643,703,709.68762,064,956.02
 流动资产合计(元) 44,219,449,823.8843,362,686,284.9045,786,781,677.2441,085,633,730.3737,272,873,485.6235,464,047,470.7635,185,439,485.5032,397,684,392.3633,822,421,049.33
非流动资产:
 长期应收款(元) ------5,723,343.03-12,116,272.61
 长期股权投资(元) 541,657,357.49539,499,971.39523,147,990.64499,228,213.01495,316,159.42487,814,402.75490,354,780.51588,110,820.07764,086,415.24
 其他权益工具投资(元) 133,845,456.97122,673,711.33118,987,293.10121,697,734.98140,483,639.73115,400,720.88108,827,498.67107,414,034.1498,128,380.56
 其他非流动金融资产(元) 594,214,330.25560,117,024.70440,689,731.53546,170,402.88693,733,196.90623,620,627.97766,742,811.69658,762,296.18388,243,828.54
 固定资产(元) 14,607,950,739.7413,419,300,404.9511,311,333,602.0111,074,734,055.0111,382,504,256.7210,715,292,022.589,639,929,034.8110,150,163,266.599,988,244,292.16
 在建工程(元) 8,007,009,800.068,777,325,916.287,017,143,320.446,101,069,053.295,953,478,785.755,606,789,873.452,814,902,853.812,427,667,900.341,471,890,669.40
 使用权资产(元) 393,000,293.11380,944,562.26115,229,701.39123,721,840.30126,173,184.21151,387,882.99658,611,939.95257,924,506.69258,946,398.63
 无形资产(元) 2,096,298,714.882,046,329,576.771,619,208,277.001,565,954,032.931,585,100,396.971,585,047,039.311,554,011,675.441,360,441,141.691,084,848,428.88
 开发支出(元) 350,259,598.55240,544,900.89562,130,790.52463,384,268.29363,132,420.71258,860,906.13345,434,521.35235,821,156.52361,598,143.50
 商誉(元) 68,569,375.9168,569,375.9169,299,162.6869,299,162.6869,269,162.6869,269,162.6869,269,162.6879,147,168.8479,147,168.84
 长期待摊费用(元) 95,713,293.85115,950,804.12127,881,582.87142,544,128.28147,365,219.88152,012,462.64132,624,001.86126,239,954.91121,539,295.68
 递延所得税资产(元) 1,198,497,536.521,156,400,943.67882,654,246.68780,260,171.29686,475,653.02621,061,546.82450,807,499.15528,325,723.14512,561,523.33
 其他非流动资产(元) 12,548,437,701.1913,070,912,387.5812,369,666,671.2912,534,154,839.0512,339,619,293.1313,089,620,792.1013,666,486,684.2112,664,282,213.4111,974,824,993.28
 非流动资产合计(元) 40,635,454,198.5240,498,569,579.8535,157,372,370.1534,022,217,901.9933,982,651,369.1233,476,177,440.3030,703,725,807.1629,184,300,182.5227,116,175,810.65
资产总计(元) 84,854,904,022.4083,861,255,864.7580,944,154,047.3975,107,851,632.3671,255,524,854.7468,940,224,911.0665,889,165,292.6661,581,984,574.8860,938,596,859.98
流动负债:
 短期借款(元) 1,554,514,126.68863,511,594.281,308,216,112.931,379,911,737.071,077,261,406.56259,513,744.63546,528,628.31546,426,018.3557,358,408.13
 应付票据及应付账款(元) 19,404,800,033.5022,492,103,188.7722,931,037,242.3618,946,195,476.5616,743,918,282.3217,228,736,839.4317,173,614,911.9017,824,261,642.4618,156,095,835.23
  其中:应付票据(元) 9,170,866,732.5811,381,184,848.7911,142,633,824.888,519,637,967.577,836,263,824.427,568,416,438.147,975,938,505.127,597,508,428.696,849,468,306.33
  其中:应付账款(元) 10,233,933,300.9211,110,918,339.9811,788,403,417.4810,426,557,508.998,907,654,457.909,660,320,401.299,197,676,406.7810,226,753,213.7711,306,627,528.90
 合同负债(元) 8,494,308,588.207,620,019,245.877,964,856,616.107,906,441,174.538,476,072,421.377,565,805,012.305,628,883,263.047,145,812,539.957,586,105,835.48
 应付职工薪酬(元) 203,614,668.43347,430,635.33259,267,347.65219,607,956.59177,985,674.34272,274,032.86145,708,714.44118,176,473.62104,403,359.42
 应交税费(元) 319,423,261.17254,708,665.57209,493,905.92190,270,216.65181,930,891.55212,025,502.26175,646,095.05476,270,475.38529,258,510.14
 应付股利(元) 2,200,000.002,200,000.002,200,000.002,200,000.002,200,000.002,200,000.002,200,000.0066,850,171.242,916,980.11
 其他应付款(元) 2,523,433,752.252,735,974,271.891,791,032,447.571,371,175,175.081,346,335,769.701,529,327,730.361,240,923,034.341,137,483,076.501,138,138,520.63
 一年内到期的非流动负债(元) 2,752,446,807.822,589,772,135.66775,743,828.97788,891,812.01726,083,038.61669,299,149.04737,270,324.66727,553,253.631,066,180,178.09
 其他流动负债(元) 736,187,950.03647,180,270.55692,830,946.40705,407,117.47748,059,619.49617,889,896.94421,486,370.80648,289,303.62746,160,775.92
 流动负债合计(元) 35,990,929,188.0837,552,900,007.9235,934,678,447.9031,510,100,665.9629,479,847,103.9428,357,071,907.8226,072,261,342.5428,691,122,954.7529,386,618,403.15
非流动负债:
 长期借款(元) 14,039,469,061.3711,480,062,600.758,553,821,656.797,853,681,585.716,624,062,362.495,256,600,986.024,423,286,435.293,978,036,221.833,123,297,806.60
 应付债券(元) --1,429,067,871.321,436,788,115.071,365,038,949.891,382,153,025.301,419,960,000.001,329,287,801.011,256,137,964.22
 租赁负债(元) 282,165,362.66280,595,145.6935,007,309.8339,269,162.2239,141,551.5361,257,922.26604,663,111.95215,925,134.59228,889,605.96
 长期应付款(元) 2,816,454,852.572,827,124,148.982,747,228,138.412,589,520,133.492,437,343,636.552,392,524,791.652,082,701,532.142,060,983,130.432,438,243,546.14
 预计负债(元) 1,697,802,749.031,732,196,128.441,961,019,169.962,023,293,939.731,919,510,940.371,907,130,558.081,856,300,818.551,714,062,586.471,606,625,838.20
 递延收益(元) 404,487,307.00416,103,638.29344,274,675.12324,118,887.82321,989,315.74327,293,318.62321,629,939.76328,283,579.56324,795,077.85
 递延所得税负债(元) 1,149,384,627.161,117,458,022.431,086,786,297.84985,575,098.80921,617,441.46890,852,136.82820,092,945.21713,451,376.09614,565,560.36
 非流动负债合计(元) 20,389,763,959.7917,853,539,684.5816,157,205,119.2715,252,246,922.8413,628,704,198.0312,217,812,738.7511,528,634,782.9010,340,029,829.989,592,555,399.33
负债合计(元) 56,380,693,147.8755,406,439,692.5052,091,883,567.1746,762,347,588.8043,108,551,301.9740,574,884,646.5737,600,896,125.4439,031,152,784.7338,979,173,802.48
所有者权益(或股东权益):
 实收资本或股本(元) 2,271,759,206.002,271,759,206.002,271,983,706.002,271,983,706.002,272,085,706.002,272,085,706.002,272,085,706.002,103,783,206.002,104,255,706.00
 资本公积(元) 17,028,842,874.2817,008,849,968.2517,012,116,152.6416,972,985,461.1316,968,838,336.4916,966,961,745.6617,103,907,494.2712,540,294,697.3312,528,351,420.00
 减:库存股(元) 1,244,413,694.31560,642,480.21260,219,412.6395,416,755.6990,875,421.6990,875,421.69104,365,087.29133,961,294.49136,566,479.49
 其他综合收益(元) 50,436,822.3349,344,950.7741,881,068.0245,028,255.3543,736,235.8042,485,633.24-105,666,458.8942,346,938.9240,786,549.50
 专项储备(元) 89,966,415.2674,772,468.4953,890,246.1943,960,064.2737,729,418.0523,532,432.80---
 盈余公积(元) 795,833,097.67783,825,171.42740,435,107.35740,435,107.35740,435,107.35740,435,107.35488,654,029.96488,654,029.96488,654,029.96
 未分配利润(元) 8,123,773,595.567,794,804,413.108,689,709,053.558,115,996,203.117,926,519,691.068,159,084,997.228,532,357,809.937,415,122,312.146,840,920,146.65
 归属于母公司股东权益合计(元) 27,116,198,316.7927,422,713,697.8228,549,795,921.1228,094,972,041.5227,898,469,073.0628,113,710,200.5828,186,973,493.9822,456,239,889.8621,866,401,372.62
 少数股东权益(元) 1,358,012,557.741,032,102,474.43302,474,559.10250,532,002.04248,504,479.71251,630,063.91101,295,673.2494,591,900.2993,021,684.88
 股东权益合计(元) 28,474,210,874.5328,454,816,172.2528,852,270,480.2228,345,504,043.5628,146,973,552.7728,365,340,264.4928,288,269,167.2222,550,831,790.1521,959,423,057.50
负债和股东权益合计(元) 84,854,904,022.4083,861,255,864.7580,944,154,047.3975,107,851,632.3671,255,524,854.7468,940,224,911.0665,889,165,292.6661,581,984,574.8860,938,596,859.98
公告日期 2024-04-292024-04-292023-10-282023-08-312023-04-292023-04-292022-10-282022-08-312022-04-29
审计意见(境内) 标准无保留意见标准无保留意见
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