楚江新材 (002171.sz)

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资产负债表(楚江新材)

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完整财报对比
2024年三季报2024年中报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合并报表合并报表
流动资产:
 货币资金(元) 3,125,703,120.843,193,411,061.272,665,041,801.542,993,182,887.811,941,751,887.672,211,041,965.942,389,860,180.382,531,146,608.192,124,052,359.652,003,717,369.581,563,242,816.83
  其中:交易性金融资产(元) 150,715,217.00196,131,199.16312,070,220.47383,651,529.87376,827,718.44501,478,482.02501,661,446.93362,491,820.88704,885,934.93499,260,111.96655,670,795.81
 应收票据及应收账款(元) 4,190,057,020.384,624,556,080.183,839,712,326.492,712,029,075.173,867,467,835.323,452,666,735.663,311,670,295.662,417,197,742.663,045,310,327.223,368,649,134.462,895,853,304.14
  其中:应收票据(元) 65,062,743.4779,252,318.8793,709,890.85157,537,212.15165,005,651.1585,686,950.39176,111,577.68190,464,749.31343,947,342.21301,790,684.09203,355,324.43
  其中:应收账款(元) 4,124,994,276.914,545,303,761.313,746,002,435.642,554,491,863.023,702,462,184.173,366,979,785.273,135,558,717.982,226,732,993.352,701,362,985.013,066,858,450.372,692,497,979.71
 预付款项(元) 1,103,302,449.451,091,805,397.20857,004,071.60645,963,892.73714,811,200.47522,006,786.67805,692,831.30650,826,498.76807,228,570.92428,863,960.97695,600,215.61
 应收利息(元) --------416,957.37625,749.03542,332.36
 其他应收款(元) 375,157,829.68323,946,128.08351,197,682.44301,493,363.79324,639,103.17420,942,903.12368,335,799.45188,554,520.00298,722,650.34253,026,616.19212,508,475.61
 存货(元) 3,389,274,777.113,807,343,261.023,101,148,971.613,282,050,046.393,010,776,415.572,850,596,329.703,038,282,988.872,729,411,183.402,387,600,160.282,923,790,779.542,833,382,735.13
 合同资产(元) 40,981,791.8543,588,527.3533,662,544.2139,524,036.67-------
 持有待售资产(元) --2,594,473.192,594,473.19-------
 一年内到期的非流动资产(元) ---------1,543,050.001,543,050.00
 其他流动资产(元) 669,590,203.90237,222,030.01747,607,115.53192,844,907.75456,031,092.31463,513,033.64467,834,426.62264,955,428.87578,914,003.09197,120,958.63453,158,248.81
 流动资产合计(元) 13,430,459,640.3113,783,243,393.5712,147,362,683.0710,925,626,670.5610,957,204,841.5910,720,700,430.5611,067,444,145.659,404,277,432.2810,008,874,022.389,803,620,327.469,371,993,834.30
非流动资产:
 长期应收款(元) ---------2,302,180.462,911,464.21
 长期股权投资(元) ----6,034,017.966,034,017.966,421,069.606,568,198.036,657,709.516,834,176.467,898,293.59
 其他权益工具投资(元) 48,109,419.6546,023,023.9556,638,198.1756,210,741.4956,058,078.3962,693,834.4764,708,987.3969,299,057.9362,563,050.5462,294,872.3625,362,617.75
 其他非流动金融资产(元) 5,593,796.185,829,050.495,829,050.497,269,425.857,326,311.577,964,685.667,836,509.068,043,955.49---
 投资性房地产(元) 7,537,720.997,611,207.307,722,446.727,796,092.457,132,062.747,199,502.987,265,191.406,442,235.186,504,419.916,566,604.645,952,989.34
 固定资产(元) 3,466,712,108.173,335,114,110.403,328,082,671.433,346,714,227.203,024,804,388.942,933,853,346.372,841,184,750.892,853,150,851.192,443,058,941.012,447,804,813.132,447,026,618.58
 在建工程(元) 377,990,307.34469,526,219.38432,249,041.79344,644,286.17579,977,611.60492,513,922.37459,140,830.81347,337,199.66489,448,446.31343,182,894.47262,536,160.97
 使用权资产(元) 16,567,524.4318,408,360.4920,249,196.5522,090,032.611,815,136.323,630,272.645,445,408.967,260,545.289,075,681.5910,890,817.9112,705,954.23
 无形资产(元) 469,665,406.26476,933,242.57475,799,689.45412,168,452.96390,228,116.83398,573,787.28406,375,237.69414,805,754.88430,769,572.10437,654,233.29443,971,731.37
 商誉(元) 1,212,838,288.791,212,838,288.791,212,838,288.791,212,838,288.791,212,838,288.791,212,838,288.791,212,838,288.791,212,838,288.791,212,838,288.791,212,838,288.791,212,838,288.79
 长期待摊费用(元) 14,251,223.0716,098,905.5719,945,835.8419,573,133.1123,186,196.3423,527,534.9721,207,422.8419,305,969.755,023,090.884,864,036.803,916,886.50
 递延所得税资产(元) 169,705,324.11136,500,055.41126,656,329.34122,264,147.93188,496,787.67162,250,754.56160,574,804.66155,865,934.44141,754,482.74116,461,366.01118,128,537.93
 其他非流动资产(元) 266,582,582.17224,474,447.90207,107,170.74250,776,835.74267,769,965.29239,064,401.56196,397,165.64122,310,244.90214,395,663.83267,605,183.61222,176,494.77
 非流动资产合计(元) 6,055,553,701.165,949,356,912.255,893,117,919.315,802,345,664.305,765,666,962.445,550,144,349.615,389,395,667.735,223,228,235.525,022,089,347.214,919,299,467.934,765,426,038.03
资产总计(元) 19,486,013,341.4719,732,600,305.8218,040,480,602.3816,727,972,334.8616,722,871,804.0316,270,844,780.1716,456,839,813.3814,627,505,667.8015,030,963,369.5914,722,919,795.3914,137,419,872.33
流动负债:
 短期借款(元) 7,565,371,760.077,398,599,900.456,204,764,987.655,323,724,357.875,570,970,987.735,259,243,858.735,328,787,369.763,953,959,713.024,217,136,820.834,213,490,066.683,895,710,933.75
  其中:交易性金融负债(元) ----1,183,160.002,424,020.003,252,490.00-604,617.001,666,937.00-
 应付票据及应付账款(元) 1,529,333,637.041,895,711,386.221,329,888,614.601,016,396,607.51964,264,222.411,087,047,823.651,114,043,129.76740,524,859.651,223,992,129.35939,970,851.65916,570,867.38
  其中:应付票据(元) 462,166,347.44397,866,785.09295,773,957.45394,992,962.23256,996,792.87325,522,003.46272,211,407.63194,076,428.18627,406,410.50330,893,136.62118,396,902.76
  其中:应付账款(元) 1,067,167,289.601,497,844,601.131,034,114,657.15621,403,645.28707,267,429.54761,525,820.19841,831,722.13546,448,431.47596,585,718.85609,077,715.03798,173,964.62
 合同负债(元) 310,905,451.08280,670,367.92289,525,954.46298,592,420.70315,258,139.17274,763,063.89309,506,612.03254,333,823.07270,727,224.35239,436,386.59238,624,620.04
 应付职工薪酬(元) 102,415,925.1091,183,820.2862,721,598.09184,187,601.9987,837,005.8481,352,018.0857,591,506.68155,170,867.3793,769,009.3974,051,245.5545,092,391.36
 应交税费(元) 123,436,709.61162,520,055.24110,194,475.23130,096,662.61163,436,263.69120,123,389.40106,531,514.65145,247,091.9198,257,180.7978,880,340.6775,702,969.98
 应付利息(元) 10,661,756.662,460,405.4122,553,715.9615,719,256.578,884,802.062,050,342.2915,035,843.6110,479,527.4511,485,775.745,810,842.3315,418,081.23
 应付股利(元) ---5,000,000.00-------
 其他应付款(元) 93,250,076.4586,482,002.9577,205,578.0577,480,246.6341,743,444.7245,114,632.2614,657,609.6884,618,093.2742,415,606.3486,801,737.01118,464,478.03
 一年内到期的非流动负债(元) 133,565,025.65136,336,078.97133,852,124.58131,574,946.3289,773,182.0891,050,241.5669,150,073.9489,431,964.4011,562,302.3511,475,651.2913,339,999.72
 其他流动负债(元) 52,331,371.9338,240,211.5862,864,171.5874,617,822.4082,450,985.9466,144,386.31108,028,925.9694,604,225.09112,531,036.7778,961,867.8631,021,200.61
 流动负债合计(元) 9,921,271,713.5910,092,204,229.028,293,571,220.207,257,389,922.607,325,802,193.647,029,313,776.177,126,585,076.075,528,370,165.236,082,481,702.915,730,545,926.635,349,945,542.10
非流动负债:
 长期借款(元) 477,818,269.24388,283,170.35377,031,294.04252,024,644.58353,829,989.79357,175,581.06352,666,017.59250,625,899.39188,671,057.76126,507,853.2184,444,307.89
 应付债券(元) 1,874,393,518.571,861,653,987.171,848,105,139.831,834,301,720.961,820,653,056.401,807,158,409.031,792,225,748.701,776,783,597.351,761,515,387.111,746,423,081.901,730,240,506.20
 租赁负债(元) 9,369,433.1211,079,641.5112,830,529.7514,448,271.03----1,933,182.143,844,066.045,732,908.72
 预计负债(元) 31,375,653.9930,236,954.8625,980,456.6323,572,821.6020,557,627.7815,868,061.6214,276,570.1011,759,989.1913,934,012.4312,041,072.667,135,209.75
 递延收益(元) 277,103,944.77282,940,305.69285,870,361.06266,811,957.47255,367,004.23273,388,553.88271,699,512.13267,944,524.83241,968,475.07229,359,467.16209,850,615.83
 递延所得税负债(元) 35,320,295.7950,915,709.4766,688,242.7863,494,998.63129,619,410.46106,995,785.19104,844,921.8995,661,388.05109,620,887.74111,534,097.15107,871,075.95
 非流动负债合计(元) 2,705,381,115.482,625,109,769.052,616,506,024.092,454,654,414.272,580,027,088.662,560,586,390.782,535,712,770.412,402,775,398.812,317,643,002.252,229,709,638.122,145,274,624.34
负债合计(元) 12,626,652,829.0712,717,313,998.0710,910,077,244.299,712,044,336.879,905,829,282.309,589,900,166.959,662,297,846.487,931,145,564.048,400,124,705.167,960,255,564.757,495,220,166.44
所有者权益(或股东权益):
 实收资本或股本(元) 1,324,246,265.001,324,246,265.001,324,246,265.001,334,534,062.001,334,533,941.001,334,533,577.001,334,533,577.001,334,533,577.001,334,533,339.001,334,532,375.001,334,530,157.00
 其他权益工具(元) 198,298,923.62198,298,923.62198,298,923.62198,298,923.62198,299,032.42198,299,358.83198,299,358.83198,299,358.83198,299,576.43198,300,457.74198,302,481.51
 资本公积(元) 2,921,642,282.742,920,875,360.182,920,751,690.023,003,782,753.453,002,861,358.713,002,034,971.672,999,212,802.882,994,725,860.152,981,762,104.292,949,972,616.782,947,965,357.10
 减:库存股(元) 244,536,308.57244,536,308.57244,536,308.57338,683,002.08338,683,002.08338,683,002.08284,300,402.08276,548,517.71237,463,292.65171,373,625.48431,154,831.03
 其他综合收益(元) -5,634,053.39-7,144,772.76975,835.51648,831.15532,043.885,608,397.287,149,989.2710,661,393.236,480,408.916,239,048.55-
 专项储备(元) 6,098,330.685,427,049.484,748,732.774,066,253.563,504,231.883,018,498.221,894,454.861,894,454.86---
 盈余公积(元) 175,887,311.80175,887,311.80175,887,311.80175,887,311.80159,942,394.19159,942,394.19159,942,394.19159,942,394.19151,922,318.14151,630,206.19151,630,206.19
 未分配利润(元) 1,901,414,234.482,053,794,546.202,181,910,575.132,079,340,631.141,911,288,028.201,779,301,282.721,854,906,861.901,760,215,161.121,734,642,021.091,915,521,812.522,079,925,168.14
 归属于母公司股东权益合计(元) 6,277,416,986.366,426,848,374.956,562,283,025.286,457,875,764.646,272,278,028.206,144,055,477.836,271,639,036.856,183,723,681.676,170,176,475.216,384,822,891.306,281,198,538.91
 少数股东权益(元) 581,943,526.04588,437,932.80568,120,332.81558,052,233.35544,764,493.53536,889,135.39522,902,930.05512,636,422.09460,662,189.22377,841,339.34361,001,166.98
 股东权益合计(元) 6,859,360,512.407,015,286,307.757,130,403,358.097,015,927,997.996,817,042,521.736,680,944,613.226,794,541,966.906,696,360,103.766,630,838,664.436,762,664,230.646,642,199,705.89
负债和股东权益合计(元) 19,486,013,341.4719,732,600,305.8218,040,480,602.3816,727,972,334.8616,722,871,804.0316,270,844,780.1716,456,839,813.3814,627,505,667.8015,030,963,369.5914,722,919,795.3914,137,419,872.33
公告日期 2024-10-262024-08-282024-04-262024-04-262023-10-252023-08-192023-04-282023-04-282022-10-282022-08-232022-04-28
审计意见(境内) 标准无保留意见标准无保留意见
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