荣盛石化 (002493.sz)

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资产负债表(荣盛石化)

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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
上市前/上市后 上市后上市后上市后上市后上市后上市后上市后上市后上市后
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) 22,085,427,589.4813,070,255,466.0232,081,621,245.4915,188,219,124.4320,100,814,229.1718,238,774,380.2119,728,257,222.0020,480,601,192.1427,678,490,394.65
  其中:交易性金融资产(元) 278,313,692.91310,087,429.45458,662,767.21387,219,170.37102,400,415.74188,283,362.49270,271,612.06263,977,697.83225,646,307.94
 应收票据及应收账款(元) 4,527,525,896.224,737,733,703.663,385,729,084.833,363,526,129.844,377,285,563.477,128,011,047.034,269,470,744.894,792,914,828.887,554,748,740.85
  其中:应收账款(元) 4,527,525,896.224,737,733,703.663,385,729,084.833,363,526,129.844,377,285,563.477,128,011,047.034,269,470,744.894,792,914,828.887,554,748,740.85
 预付款项(元) 3,213,070,069.101,493,312,465.862,918,119,017.223,370,137,428.734,129,555,369.982,558,120,124.996,178,882,700.985,591,943,641.014,257,753,490.63
 应收股利(元) --------434,500,000.00
 其他应收款(元) 4,283,783,859.944,510,228,597.494,406,319,039.548,124,126,700.643,588,247,990.324,262,221,292.972,547,061,935.854,283,974,415.254,917,743,028.67
 存货(元) 55,237,461,019.2861,733,657,342.0749,916,734,979.8645,236,557,593.1154,519,829,400.3160,689,909,793.9443,033,491,007.2140,678,804,800.1640,098,741,719.10
 其他流动资产(元) 4,635,885,805.305,297,128,974.313,975,853,205.064,519,277,838.446,320,998,972.282,467,681,369.5012,497,495,720.1113,744,523,107.7812,429,278,653.36
 流动资产合计(元) 94,533,707,898.8391,327,440,221.7997,366,788,862.8080,718,759,392.9294,642,550,324.7595,720,300,280.4888,706,566,669.3190,261,616,625.2798,271,412,979.78
非流动资产:
 长期股权投资(元) 9,262,885,084.009,183,711,444.969,014,271,450.648,891,042,895.478,855,956,020.268,733,329,806.358,626,807,863.248,211,165,997.218,213,832,077.45
 投资性房地产(元) 10,327,713.1010,395,574.6010,463,436.1010,531,297.6010,599,159.1010,667,020.6010,734,882.1010,802,743.6010,870,605.10
 固定资产(元) 215,959,642,059.52219,699,679,397.52213,290,457,684.58215,083,404,817.73218,903,063,812.73222,161,110,736.65202,990,827,206.16181,624,744,605.16151,009,355,150.47
 在建工程(元) 48,217,275,287.3641,820,671,070.5936,546,696,943.6532,973,381,339.0829,862,787,694.1426,135,157,629.4542,075,462,891.3156,774,642,848.1683,855,634,779.18
 使用权资产(元) 196,334,314.98200,102,141.16208,616,690.50212,408,093.54220,014,128.34225,606,768.34234,782,953.40240,555,938.96245,494,616.98
 无形资产(元) 8,047,209,820.837,128,930,412.447,148,387,558.836,457,143,332.496,069,366,311.085,997,771,881.125,670,290,383.555,654,675,863.945,692,884,869.18
 长期待摊费用(元) -45,701.137,188,848.5242,880.5758,257.10117,159.131,102,691.822,120,878.254,687,889.67
 递延所得税资产(元) 721,038,004.97690,808,878.081,394,370,451.521,366,443,593.551,089,764,199.93397,203,189.14255,946,740.35258,260,724.86237,326,961.41
 其他非流动资产(元) 3,856,073,578.934,856,655,469.414,181,725,715.823,474,088,705.823,263,694,636.423,206,152,216.422,017,645,425.862,011,683,745.671,981,450,188.76
 非流动资产合计(元) 286,270,785,863.69283,591,000,089.89271,802,178,780.16268,468,486,955.85268,275,304,219.10266,867,116,407.20261,883,601,037.79254,788,653,345.81251,251,537,138.20
资产总计(元) 380,804,493,762.52374,918,440,311.68369,168,967,642.96349,187,246,348.77362,917,854,543.85362,587,416,687.68350,590,167,707.10345,050,269,971.08349,522,950,117.98
流动负债:
 短期借款(元) 49,478,542,204.6644,810,936,767.9454,982,932,089.9838,995,934,539.5741,792,736,878.5826,369,552,400.5035,719,976,546.5934,393,264,677.7939,660,493,618.63
  其中:交易性金融负债(元) 588,321,308.64623,298,741.33553,088,776.23549,233,668.87465,280,944.57588,769,711.55439,355,884.64424,469,782.463,935,175.00
 应付票据及应付账款(元) 51,205,736,814.2253,939,598,304.0136,496,896,058.0542,672,435,241.3651,975,966,481.0972,488,167,438.4662,813,808,549.3564,151,156,188.2362,615,464,580.47
  其中:应付票据(元) 4,029,642,868.754,195,471,402.633,882,136,048.982,425,595,695.063,386,983,606.353,408,800,462.033,689,324,183.424,117,238,145.043,482,628,414.80
  其中:应付账款(元) 47,176,093,945.4749,744,126,901.3832,614,760,009.0740,246,839,546.3048,588,982,874.7469,079,366,976.4359,124,484,365.9360,033,918,043.1959,132,836,165.67
 合同负债(元) 3,263,730,848.764,421,732,432.834,954,793,957.203,989,090,507.855,985,900,909.703,734,262,391.816,647,760,422.514,954,126,850.084,132,154,857.27
 应付职工薪酬(元) 475,598,983.901,032,220,776.56904,501,900.24688,558,340.81484,321,770.061,022,711,102.12773,106,139.96575,163,497.08407,183,246.93
 应交税费(元) 1,681,426,588.75476,781,167.70531,045,745.10965,805,931.751,095,659,010.151,463,341,122.445,668,986,076.005,284,703,234.9910,818,704,378.37
 应付股利(元) 228,000,000.00228,000,000.00108,000,000.00108,000,000.00108,000,000.00108,000,000.00108,000,000.00108,000,000.00187,500,000.00
 其他应付款(元) 15,197,993,518.1416,691,133,504.4712,792,162,966.705,824,751,765.863,238,409,135.513,364,604,671.475,962,744,469.792,795,971,036.873,490,719,544.92
 一年内到期的非流动负债(元) 30,509,962,010.1530,286,684,174.8123,219,419,410.4622,216,340,629.6119,209,154,858.6020,461,387,778.9316,033,698,615.3016,865,464,062.8413,340,459,067.39
 其他流动负债(元) 406,698,171.24551,990,844.96632,658,464.37514,202,837.84759,012,390.86458,588,848.28859,326,381.18635,594,175.35501,287,774.54
 流动负债合计(元) 153,036,010,448.46153,062,376,714.61135,175,499,368.33116,524,353,463.52125,114,442,379.12130,059,385,465.56135,026,763,085.32130,187,913,505.69135,157,902,243.52
非流动负债:
 长期借款(元) 130,264,385,948.41125,179,583,821.18134,611,263,736.41134,520,212,536.23139,098,886,634.56130,962,386,969.29109,549,192,313.33106,995,125,585.84107,890,700,648.31
 应付债券(元) --2,018,063,786.572,033,552,302.012,053,437,697.772,034,827,122.232,015,755,808.542,042,247,310.362,067,051,914.98
 租赁负债(元) 187,732,441.45193,002,312.38198,570,773.97204,564,668.81208,927,997.72213,400,396.45220,407,173.65225,002,520.39228,789,149.21
 递延收益(元) 188,983,856.17195,581,593.25163,574,375.96170,438,435.27188,454,827.74195,662,553.73205,870,279.72211,160,427.93217,460,058.26
 递延所得税负债(元) 1,691,713,181.181,619,074,228.971,967,723,814.221,973,379,242.261,944,638,254.871,955,971,401.122,986,722,980.092,977,914,407.352,995,578,231.75
 非流动负债合计(元) 132,332,815,427.21127,187,241,955.78138,959,196,487.13138,902,147,184.58143,494,345,412.66135,362,248,442.82114,977,948,555.33112,451,450,251.87113,399,580,002.51
负债合计(元) 285,368,825,875.67280,249,618,670.39274,134,695,855.46255,426,500,648.10268,608,787,791.78265,421,633,908.38250,004,711,640.65242,639,363,757.56248,557,482,246.03
所有者权益(或股东权益):
 实收资本或股本(元) 10,125,525,000.0010,125,525,000.0010,125,525,000.0010,125,525,000.0010,125,525,000.0010,125,525,000.0010,125,525,000.0010,125,525,000.0010,125,525,000.00
 资本公积(元) 10,825,808,139.1510,825,322,259.3610,824,600,655.5110,824,524,064.7310,823,221,691.9510,822,594,513.3910,820,095,850.5810,820,095,850.5810,820,095,850.58
 减:库存股(元) 6,979,971,201.566,619,807,176.024,905,115,376.023,978,202,364.653,978,202,364.653,978,202,364.653,456,582,078.001,106,064,809.42108,993,494.00
 其他综合收益(元) 129,834,223.20110,203,866.35308,193,365.36314,363,696.98155,291,173.16139,462,613.71204,011,545.3865,774,534.485,506,024.16
 专项储备(元) 65,923,726.8560,677,296.91-------
 盈余公积(元) 974,151,644.68974,151,644.68886,470,394.72886,470,394.72886,470,394.72886,470,394.72712,695,666.11712,695,666.11712,695,666.11
 未分配利润(元) 29,412,174,978.1328,859,818,194.5127,897,078,872.9426,662,842,402.7327,796,715,934.0429,264,532,743.9431,136,227,876.3031,052,228,868.2530,308,818,645.56
 归属于母公司股东权益合计(元) 44,553,446,510.4544,335,891,085.7945,136,752,912.5144,835,523,194.5145,809,021,829.2247,260,382,901.1149,541,973,860.3751,670,255,110.0051,863,647,692.41
 少数股东权益(元) 50,882,221,376.4050,332,930,555.5049,897,518,874.9948,925,222,506.1648,500,044,922.8549,905,399,878.1951,043,482,206.0850,740,651,103.5249,101,820,179.54
 股东权益合计(元) 95,435,667,886.8594,668,821,641.2995,034,271,787.5093,760,745,700.6794,309,066,752.0797,165,782,779.30100,585,456,066.45102,410,906,213.52100,965,467,871.95
负债和股东权益合计(元) 380,804,493,762.52374,918,440,311.68369,168,967,642.96349,187,246,348.77362,917,854,543.85362,587,416,687.68350,590,167,707.10345,050,269,971.08349,522,950,117.98
公告日期 2024-04-302024-04-262023-10-262023-08-262023-04-272023-04-202022-10-262022-08-182022-04-29
审计意见(境内) 标准无保留意见标准无保留意见
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