立中集团 (300428.sz)

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资产负债表(立中集团)

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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) 2,610,206,300.642,887,260,222.402,928,317,643.431,725,733,658.461,758,633,026.642,310,590,918.762,680,587,601.411,924,505,913.591,836,035,047.81
  其中:交易性金融资产(元) 21,047,869.6623,865,461.10607,944,193.30554,129,055.07246,076,000.70404,085,628.09543,811,367.39557,264,673.53284,294,702.05
 应收票据及应收账款(元) 4,652,738,439.114,410,102,343.394,633,088,027.544,604,948,646.984,177,603,536.323,914,010,400.924,427,042,852.324,099,339,935.894,058,417,118.22
  其中:应收票据(元) 434,814,716.63377,690,675.49421,715,742.39409,286,008.65433,469,017.64389,460,359.38538,468,348.19492,239,354.60309,601,445.03
  其中:应收账款(元) 4,217,923,722.484,032,411,667.904,211,372,285.154,195,662,638.333,744,134,518.683,524,550,041.543,888,574,504.133,607,100,581.293,748,815,673.19
 预付款项(元) 272,023,636.22208,238,419.74372,924,660.16237,980,660.91375,032,031.72133,635,090.46205,948,893.03239,751,581.40369,166,439.42
 其他应收款(元) 154,864,246.83154,523,330.76192,869,563.80224,750,266.18221,305,433.26256,171,316.25224,004,242.20259,984,735.57252,516,428.16
 存货(元) 3,775,426,845.833,747,271,006.043,228,585,397.093,178,864,326.383,408,243,615.013,664,965,988.423,498,236,034.893,567,922,693.933,337,308,773.42
 合同资产(元) 1,178,450.001,655,108.691,655,108.691,655,108.691,655,108.691,810,771.72110,271.72110,271.72626,625.41
 一年内到期的非流动资产(元) ----153,837,083.32152,799,583.32151,739,027.77150,678,472.22-
 其他流动资产(元) 427,103,983.62501,815,974.38361,554,914.58308,727,964.86210,061,836.40268,778,784.55221,893,468.98211,341,601.62208,659,393.51
 流动资产合计(元) 13,332,047,507.9812,872,529,713.7113,275,739,037.0011,737,135,752.3111,652,665,511.3611,799,753,046.3112,371,959,903.3011,644,613,317.3511,084,527,652.51
非流动资产:
 长期股权投资(元) 80,630,360.6781,237,431.73108,277,101.41108,541,268.49109,343,653.05109,713,460.53112,237,161.57106,069,510.6092,800,164.01
 投资性房地产(元) 3,769,384.913,869,881.049,803,941.9210,002,547.6210,209,159.3310,428,124.9410,490,801.4210,570,877.4610,779,485.24
 固定资产(元) 3,747,754,709.133,657,230,328.463,136,204,707.093,091,712,640.813,154,482,535.983,213,449,808.332,599,910,124.572,335,563,332.402,262,710,224.22
 在建工程(元) 1,098,475,353.071,140,258,066.121,416,697,747.391,346,789,633.721,042,370,001.19740,540,180.83828,539,430.35938,215,841.56773,296,043.18
 使用权资产(元) 56,442,210.9357,399,049.8541,959,998.9845,078,845.2352,186,535.3848,600,207.9449,534,077.1352,500,039.7355,466,002.33
 无形资产(元) 700,823,878.39705,658,028.63659,869,617.00665,460,722.54659,260,294.98612,209,687.28609,887,613.37609,863,449.77586,443,134.18
 开发支出(元) 2,153,930.75795,811.823,192,280.158,864,479.2211,796,318.783,274,775.89475,771.8490,424.4782,764.09
 商誉(元) 31,065,843.4630,003,058.5227,894,608.3730,341,879.2627,051,704.6427,855,976.9826,375,917.6827,001,126.5927,669,144.39
 长期待摊费用(元) 10,897,687.617,076,721.027,402,967.816,513,027.896,880,889.685,644,337.825,979,490.486,115,783.477,725,638.55
 递延所得税资产(元) 71,036,762.2297,596,827.11112,591,293.07130,509,444.90137,348,555.16130,484,187.69118,936,522.25108,407,284.7487,414,769.57
 其他非流动资产(元) 79,977,021.9666,691,611.07181,412,386.42165,972,342.58243,537,013.11242,771,249.79375,438,630.52237,621,654.91166,283,071.62
 非流动资产合计(元) 5,883,027,143.105,847,816,815.375,705,306,649.615,609,786,832.265,454,466,661.285,144,971,998.024,737,805,541.184,432,019,325.704,070,670,441.38
资产总计(元) 19,215,074,651.0818,720,346,529.0818,981,045,686.6117,346,922,584.5717,107,132,172.6416,944,725,044.3317,109,765,444.4816,076,632,643.0515,155,198,093.89
流动负债:
 短期借款(元) 5,290,273,297.635,261,692,422.415,604,965,874.255,088,856,450.615,347,309,262.315,671,003,901.916,146,848,109.705,956,099,187.755,496,069,060.81
  其中:交易性金融负债(元) 2,230,853.10114,375.0012,200,244.5014,970,025.00-1,243,894.509,268,405.00--
 应付票据及应付账款(元) 1,819,658,549.491,918,862,822.051,679,439,515.931,528,045,006.211,363,066,567.751,533,298,734.451,668,208,494.031,436,937,682.611,300,060,316.86
  其中:应付票据(元) 612,585,790.30576,355,486.46542,010,804.18371,777,321.99327,218,852.79417,516,835.53380,560,401.70531,338,036.54342,558,192.40
  其中:应付账款(元) 1,207,072,759.191,342,507,335.591,137,428,711.751,156,267,684.221,035,847,714.961,115,781,898.921,287,648,092.33905,599,646.07957,502,124.46
 合同负债(元) 66,737,070.0974,738,953.02128,873,999.57138,233,558.6176,287,428.9747,475,989.77111,011,243.6663,126,102.4632,996,655.45
 应付职工薪酬(元) 111,847,642.74145,056,881.22119,135,649.01113,244,189.83104,919,018.71129,678,166.96118,073,818.25104,095,069.32111,690,217.12
 应交税费(元) 72,030,249.5099,843,421.0557,934,238.0967,119,072.5279,790,851.0472,357,728.2880,797,330.4666,094,447.0641,791,605.21
 应付股利(元) 8,123,924.438,123,924.4310,711,916.4314,054,103.664,373,924.434,734,129.959,200,577.3710,297,762.605,353,924.43
 其他应付款(元) 171,303,443.43182,771,078.19275,727,233.28187,616,173.35162,612,148.72200,582,156.69139,776,477.41171,627,313.57202,408,417.73
 一年内到期的非流动负债(元) 802,795,927.00797,932,058.87880,699,479.96761,111,867.43701,491,490.41912,770,791.271,125,418,509.521,094,611,244.171,066,145,723.73
 其他流动负债(元) 72,860,733.1353,637,949.0372,929,938.2364,924,881.8790,319,685.7183,559,722.97154,512,501.79117,722,797.27125,186,829.89
 流动负债合计(元) 8,417,861,690.548,542,773,885.278,842,618,089.257,978,175,329.097,930,170,378.058,656,705,216.759,563,115,467.199,020,611,606.818,381,702,751.23
非流动负债:
 长期借款(元) 2,662,516,907.412,296,345,952.702,474,630,426.172,753,367,849.812,759,234,683.972,059,437,642.781,529,759,139.211,232,306,824.311,114,716,339.69
 应付债券(元) 774,573,132.63766,047,794.84757,606,413.26------
 租赁负债(元) 51,621,566.9449,859,107.3739,746,867.8140,301,677.7347,117,668.3741,034,533.2144,709,341.8647,710,732.9348,929,041.62
 长期应付职工薪酬(元) 4,211,004.654,269,477.784,922,981.624,978,919.864,403,307.654,412,763.097,183,916.127,122,772.886,715,327.08
 递延收益(元) 173,373,827.51184,635,764.11197,999,194.41204,087,797.70213,768,205.13209,921,986.53211,660,558.90212,392,074.83153,654,258.14
 递延所得税负债(元) 1,010,447.631,175,519.0122,619,833.0321,604,150.0923,584,530.8523,464,861.098,077,688.548,407,068.328,105,025.13
 其他非流动负债(元) ---6,631,666.686,631,666.686,631,666.686,631,666.6713,263,333.3313,263,333.33
 非流动负债合计(元) 3,667,306,886.773,302,333,615.813,497,525,716.303,030,972,061.873,054,740,062.652,344,903,453.381,808,022,311.301,521,202,806.601,345,383,324.99
负债合计(元) 12,085,168,577.3111,845,107,501.0812,340,143,805.5511,009,147,390.9610,984,910,440.7011,001,608,670.1311,371,137,778.4910,541,814,413.419,727,086,076.22
所有者权益(或股东权益):
 实收资本或股本(元) 626,019,920.00626,019,737.00625,122,129.00625,122,129.00616,956,965.00616,956,965.00616,956,965.00616,956,965.00616,956,965.00
 其他权益工具(元) 136,687,922.08136,688,590.48136,688,590.48------
 资本公积(元) 1,703,020,606.511,684,140,410.231,655,897,243.011,631,272,028.331,527,182,560.741,484,124,860.991,442,226,511.731,396,600,371.321,352,464,480.91
 减:库存股(元) 49,997,695.8431,998,154.96-------
 其他综合收益(元) 88,668,007.89117,697,973.8864,082,498.6398,845,969.2171,919,531.0751,647,586.10-8,922,872.67-40,707,101.17-27,091,848.52
 专项储备(元) 48,719,795.5347,607,823.9960,182,232.8153,493,448.2052,321,874.5654,883,164.7956,125,687.9355,986,628.3159,700,660.39
 盈余公积(元) 163,498,990.40163,498,990.40141,588,851.54141,588,851.54141,588,851.54141,588,851.54105,509,767.72105,509,767.72105,509,767.72
 未分配利润(元) 4,189,122,273.493,914,813,543.693,745,555,499.303,580,170,150.143,498,653,820.783,380,657,931.803,323,722,855.503,201,364,417.773,104,918,673.48
 归属于母公司股东权益合计(元) 6,905,739,820.066,658,468,914.716,429,117,044.776,130,492,576.425,908,623,603.695,729,859,360.225,535,618,915.215,335,711,048.955,212,458,698.98
 少数股东权益(元) 224,166,253.71216,770,113.29211,784,836.29207,282,617.19213,598,128.25213,257,013.98203,008,750.78199,107,180.69215,653,318.69
 股东权益合计(元) 7,129,906,073.776,875,239,028.006,640,901,881.066,337,775,193.616,122,221,731.945,943,116,374.205,738,627,665.995,534,818,229.645,428,112,017.67
负债和股东权益合计(元) 19,215,074,651.0818,720,346,529.0818,981,045,686.6117,346,922,584.5717,107,132,172.6416,944,725,044.3317,109,765,444.4816,076,632,643.0515,155,198,093.89
公告日期 2024-04-262024-04-252023-10-262023-08-292023-04-252023-04-252022-10-272022-08-012022-04-25
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