中国宝安 (000009.sz)

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资产负债表(中国宝安)

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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) 10,437,664,677.199,445,538,500.958,625,867,333.368,473,488,440.7410,070,952,149.6910,531,615,227.898,932,196,850.467,713,087,223.136,306,668,284.45
  其中:交易性金融资产(元) 1,085,811,862.55619,990,501.441,500,673,250.741,577,670,946.521,573,062,698.601,687,144,877.121,511,724,458.15723,500,248.691,119,979,892.48
 应收票据及应收账款(元) 4,783,977,287.865,252,203,876.897,468,873,983.436,786,206,098.926,712,945,445.786,734,701,911.726,333,320,373.335,564,488,160.004,276,840,313.44
  其中:应收票据(元) 289,690,861.25322,517,640.58396,153,156.42561,031,908.16645,061,821.03362,177,737.77362,958,875.77242,679,807.16220,198,457.90
  其中:应收账款(元) 4,494,286,426.614,929,686,236.317,072,720,827.016,225,174,190.766,067,883,624.756,372,524,173.955,970,361,497.565,321,808,352.844,056,641,855.54
 预付款项(元) 290,581,024.03119,931,812.12256,973,612.84254,462,066.13449,587,664.64384,858,991.351,067,681,469.69979,087,733.161,414,388,551.60
 应收利息(元) -870,000.00------28,364.61
 应收股利(元) --1,919,188.003,838,344.0014,300,600.0017,076,279.174,948,600.004,948,600.004,948,600.00
 其他应收款(元) 763,695,595.02771,427,862.43767,155,064.13775,547,245.32798,599,490.44827,425,326.24901,428,807.18868,062,444.06841,351,497.10
 存货(元) 10,612,712,170.7510,536,290,414.8111,171,789,525.1210,951,545,823.1611,574,181,792.4112,194,083,474.9513,165,183,849.8812,636,531,480.3511,402,573,695.69
 合同资产(元) 15,210,326.6015,274,495.10-------
 持有待售资产(元) 3,586,482.193,586,482.193,436,482.193,436,482.1922,778,429.66287,064,292.729,866,565.809,866,565.809,866,565.80
 其他流动资产(元) 1,723,548,784.821,428,912,771.321,103,278,430.481,033,363,826.911,195,806,603.281,022,732,355.851,162,260,592.79986,393,690.28868,918,085.98
 流动资产合计(元) 30,337,635,702.4028,938,883,153.5331,509,792,771.3130,815,987,881.3733,509,545,238.0334,986,065,478.9133,618,818,142.1930,219,901,894.6726,997,151,761.94
非流动资产:
 发放委托贷款及垫款(元) 15,148,489.7118,168,022.6027,832,527.1342,927,500.3664,355,963.1187,157,989.58167,185,489.60253,039,504.02303,218,424.65
 长期股权投资(元) 1,063,980,337.851,099,444,907.591,148,438,943.131,211,973,606.051,258,730,711.751,250,390,994.481,346,256,431.341,362,274,719.331,312,126,978.77
 其他非流动金融资产(元) 597,927,671.11580,909,625.70581,549,762.53617,672,378.50471,161,401.63471,422,057.72397,869,508.90380,379,512.25391,175,148.21
 投资性房地产(元) 561,975,296.87569,268,063.841,084,032,829.311,151,763,684.961,163,129,728.131,173,878,228.371,184,459,529.09814,132,556.28830,124,891.26
 固定资产(元) 11,008,071,180.7611,137,252,719.439,442,632,920.449,025,084,619.508,051,290,358.967,873,049,206.877,021,260,906.475,988,437,442.295,269,894,891.57
 在建工程(元) 3,747,841,946.783,159,719,792.972,400,590,141.202,348,918,615.332,831,372,393.732,691,285,760.852,186,417,386.922,523,161,682.702,404,578,898.94
 使用权资产(元) 554,412,820.26588,447,150.69506,510,131.82535,149,783.30552,077,061.68565,187,782.47531,912,759.24569,983,851.20560,970,652.78
 无形资产(元) 1,670,500,755.931,689,951,575.571,478,517,212.411,441,575,374.351,468,708,123.991,410,661,317.541,267,593,927.021,244,734,361.961,186,438,423.09
 开发支出(元) 78,522,869.3871,661,107.9459,898,782.3554,774,894.2849,866,502.7942,918,055.6738,195,035.1433,955,994.7331,468,804.99
 商誉(元) 479,391,587.87479,391,587.87460,089,786.33460,089,786.33460,089,786.33460,089,786.33470,527,732.24470,527,732.24470,527,732.24
 长期待摊费用(元) 209,218,635.74216,530,386.77198,337,667.42206,580,423.02213,840,738.69221,420,227.98207,268,019.35211,559,508.23170,884,163.19
 递延所得税资产(元) 640,420,153.71605,082,396.94601,957,148.93590,106,796.23537,076,823.78430,181,556.49392,094,359.52388,472,321.92358,879,475.45
 其他非流动资产(元) 1,212,277,124.13945,315,299.40778,500,425.89780,544,134.72758,625,949.53629,601,962.82766,345,832.69756,101,474.98605,545,579.75
 非流动资产合计(元) 21,839,688,870.1021,161,142,637.3118,768,888,278.8918,467,161,596.9317,880,325,544.1017,307,244,927.1715,977,386,917.5214,996,760,662.1313,895,834,064.89
资产总计(元) 52,177,324,572.5050,100,025,790.8450,278,681,050.2049,283,149,478.3051,389,870,782.1352,293,310,406.0849,596,205,059.7145,216,662,556.8040,892,985,826.83
流动负债:
 短期借款(元) 2,377,265,694.952,012,847,287.813,378,028,312.183,602,196,975.756,657,890,346.848,315,457,905.767,554,462,158.927,079,879,326.366,688,817,059.75
  其中:交易性金融负债(元) --1,940,000.001,940,000.001,940,000.001,940,000.001,940,000.001,940,000.001,940,000.00
 应付票据及应付账款(元) 7,727,868,734.078,375,471,205.028,796,188,369.398,464,847,054.609,499,663,398.9610,820,348,211.6010,601,466,003.937,725,991,616.835,711,153,162.60
  其中:应付票据(元) 1,630,179,190.741,800,936,127.171,321,288,991.901,675,510,681.872,852,631,909.194,005,262,284.663,865,905,982.692,340,915,283.661,557,447,829.35
  其中:应付账款(元) 6,097,689,543.336,574,535,077.857,474,899,377.496,789,336,372.736,647,031,489.776,815,085,926.946,735,560,021.245,385,076,333.174,153,705,333.25
 预收款项(元) 1,991,311.952,724,879.178,172,302.159,223,255.191,274,748.881,372,630.591,509,146.211,796,408.13954,735.77
 合同负债(元) 387,499,602.28332,218,726.62400,579,451.27342,822,694.67336,706,063.23310,679,999.14751,673,033.381,506,576,265.131,330,965,240.60
 应付职工薪酬(元) 408,895,580.11376,639,693.95357,558,362.50416,908,447.58381,605,433.01374,950,465.33221,167,924.99364,911,256.43330,101,699.12
 应交税费(元) 381,999,242.74453,373,376.43508,958,674.93439,190,182.93420,271,640.77534,496,932.12590,539,919.03559,104,423.89451,483,020.60
 应付股利(元) 4,545,455.001,726,761.021,726,761.02197,179,273.341,509,286.071,509,286.071,509,286.07197,537,798.401,867,811.12
 其他应付款(元) 621,302,180.31796,971,976.90633,909,340.47655,992,958.31668,717,448.01864,320,812.63732,294,249.09772,314,087.62700,235,089.61
 持有待售负债(元) ----3,855,949.81141,579,493.06---
 一年内到期的非流动负债(元) 3,203,223,283.513,323,113,612.092,757,230,184.103,394,691,264.563,182,425,806.102,789,420,295.592,655,459,823.002,570,897,812.532,998,477,858.90
 其他流动负债(元) 46,773,291.1943,903,514.1237,685,070.9243,621,743.3243,261,686.4035,848,532.5791,725,144.29198,212,723.88174,093,341.17
 流动负债合计(元) 15,161,364,376.1115,718,991,033.1316,881,976,828.9317,568,613,850.2521,199,121,808.0824,191,924,564.4623,203,746,688.9120,979,161,719.2018,390,089,019.24
非流动负债:
 长期借款(元) 11,472,789,275.049,217,997,692.208,995,465,306.317,450,586,943.086,214,627,552.344,930,271,374.054,612,256,155.663,504,644,872.312,273,303,311.20
 应付债券(元) 748,234,809.02747,920,211.27747,624,774.771,046,610,296.671,046,159,037.421,045,707,778.171,045,267,989.511,296,474,050.011,295,823,809.51
 租赁负债(元) 440,781,377.19470,702,344.35411,523,208.69437,463,193.29450,542,317.67459,546,104.44439,646,946.18483,911,738.86462,123,962.29
 长期应付款(元) 1,116,452,368.091,164,862,058.461,213,462,430.281,261,689,171.971,286,426,157.651,352,572,662.921,013,353,302.411,013,499,011.351,013,212,794.55
 长期应付职工薪酬(元) 2,045,127.582,142,552.472,409,021.452,440,585.372,190,007.602,458,156.632,086,065.312,036,999.381,988,195.07
 预计负债(元) 15,972,083.8115,816,350.5017,008,456.3216,796,995.2716,493,722.3616,500,212.6410,261,663.049,859,965.979,508,530.59
 递延收益(元) 715,550,204.20687,058,684.36679,830,641.87674,737,909.98664,359,336.84570,320,064.25476,072,778.48471,285,054.21447,450,481.64
 递延所得税负债(元) 333,811,774.74354,704,990.76315,969,372.27338,374,272.52309,784,842.60183,708,567.9680,060,519.1982,137,426.0789,880,923.80
 其他非流动负债(元) 690,049,307.73696,673,704.53697,295,881.58697,426,255.29696,842,037.59697,755,062.51691,286,800.67693,060,311.88695,911,456.47
 非流动负债合计(元) 15,535,686,327.4013,357,878,588.9013,080,589,093.5411,926,125,623.4410,687,425,012.079,258,839,983.578,370,292,220.457,556,909,430.046,289,203,465.12
负债合计(元) 30,697,050,703.5129,076,869,622.0329,962,565,922.4729,494,739,473.6931,886,546,820.1533,450,764,548.0331,574,038,909.3628,536,071,149.2424,679,292,484.36
所有者权益(或股东权益):
 实收资本或股本(元) 2,579,213,965.002,579,213,965.002,579,213,965.002,579,213,965.002,579,213,965.002,579,213,965.002,579,213,965.002,579,213,965.002,579,213,965.00
 资本公积(元) 1,588,523,187.741,534,534,863.831,525,823,722.071,513,961,271.081,493,405,148.861,418,841,631.931,456,441,292.331,422,096,107.401,392,173,699.40
 其他综合收益(元) -12,389,499.67-53,381.53-571,452.367,348,252.14-25,088,132.98-10,334,786.67-292,438.89-16,406,365.70-32,475,611.28
 专项储备(元) 8,672,951.848,604,640.077,744,373.206,313,186.364,917,995.273,478,038.594,108,036.993,283,270.503,862,722.30
 盈余公积(元) 328,967,594.01328,967,594.01328,964,842.92328,964,842.92328,964,842.92328,964,842.92328,964,842.92328,964,842.92328,964,842.92
 未分配利润(元) 5,551,699,066.565,480,925,821.685,403,949,357.625,217,097,333.605,055,046,951.184,813,649,856.904,232,605,481.234,080,265,338.973,912,476,209.22
 归属于母公司股东权益合计(元) 10,044,687,265.489,932,193,503.069,845,124,808.459,652,898,851.109,436,460,770.259,133,813,548.678,601,041,179.588,397,417,159.098,184,215,827.56
 少数股东权益(元) 11,435,586,603.5111,090,962,665.7510,470,990,319.2810,135,511,153.5110,066,863,191.739,708,732,309.389,421,124,970.778,283,174,248.478,029,477,514.91
 股东权益合计(元) 21,480,273,868.9921,023,156,168.8120,316,115,127.7319,788,410,004.6119,503,323,961.9818,842,545,858.0518,022,166,150.3516,680,591,407.5616,213,693,342.47
负债和股东权益合计(元) 52,177,324,572.5050,100,025,790.8450,278,681,050.2049,283,149,478.3051,389,870,782.1352,293,310,406.0849,596,205,059.7145,216,662,556.8040,892,985,826.83
公告日期 2024-04-302024-04-162023-10-312023-08-292023-04-292023-04-152022-10-272022-08-232022-04-28
审计意见(境内) 标准无保留意见标准无保留意见
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