苏豪弘业 (600128.sh)

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资产负债表(苏豪弘业)

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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) 723,550,705.62971,564,266.331,081,947,664.481,103,117,985.15641,876,186.51585,292,174.06653,868,643.87617,220,212.55497,491,755.18554,743,423.39567,521,684.29
  其中:交易性金融资产(元) 148,765,606.39134,270,999.89226,725,761.60278,921,810.01300,979,578.45340,086,715.70420,753,155.00442,603,962.40388,642,239.74376,096,386.57396,905,312.37
 应收票据及应收账款(元) 1,208,555,201.591,203,005,394.811,290,957,007.751,225,534,572.791,011,650,993.51925,895,047.82904,787,686.77946,457,644.95779,542,368.25657,037,590.52599,133,804.47
  其中:应收票据(元) 211,229,990.73245,197,906.92262,803,273.89287,565,323.57204,229,725.02154,834,687.42119,680,138.96131,192,591.2045,716,156.7746,179,347.8942,350,744.29
  其中:应收账款(元) 997,325,210.86957,807,487.891,028,153,733.86937,969,249.22807,421,268.49771,060,360.40785,107,547.81815,265,053.75733,826,211.48610,858,242.63556,783,060.18
 预付款项(元) 577,409,414.82544,334,221.40352,801,784.43188,433,250.02439,797,807.62379,227,300.34308,900,230.01297,070,621.87323,952,754.72349,662,902.67387,871,561.73
 应收股利(元) 950,000.001,541,600.00950,000.009,871,715.44950,000.00950,000.00950,000.005,604,573.87950,000.003,150,000.00998,178.44
 其他应收款(元) 110,021,614.7171,515,421.1262,636,987.9090,934,330.1977,349,684.9859,267,412.4261,888,076.9693,196,741.3785,682,104.1776,481,528.2972,742,013.72
 存货(元) 170,242,611.72174,313,939.58174,122,258.20208,869,702.60189,923,947.27199,870,568.26155,517,970.73165,213,878.14225,186,228.80229,327,288.92216,921,752.17
 合同资产(元) 217,022,490.21189,971,922.65150,506,451.31212,583,609.69268,775,601.79245,530,217.21226,589,107.71245,018,872.78146,369,847.87152,331,135.4599,876,151.19
 其他流动资产(元) 15,309,823.6019,825,924.2816,239,660.9314,705,312.7422,097,437.6924,225,242.8623,550,030.6110,244,202.187,362,618.916,256,410.396,848,585.60
 流动资产合计(元) 3,233,191,688.043,352,660,106.263,442,336,949.853,363,078,187.842,961,956,619.592,770,069,763.572,830,739,208.272,840,977,933.982,497,103,553.872,431,202,347.572,371,255,308.06
非流动资产:
 长期股权投资(元) 427,444,554.40427,096,427.46421,297,608.73421,647,193.82430,627,384.79429,017,583.45426,075,926.51426,428,570.46429,036,895.78433,641,484.03426,728,523.82
 其他权益工具投资(元) 1,256,569,790.401,256,569,790.401,256,569,790.401,261,929,790.401,227,892,020.751,227,892,020.751,227,892,020.751,227,892,020.751,237,088,484.301,237,088,484.301,237,088,484.30
 投资性房地产(元) 471,609,516.00471,609,516.00471,609,516.00471,609,516.00466,243,096.00449,057,253.07449,057,253.07449,057,253.07418,238,603.72418,238,603.72418,238,603.72
 固定资产(元) 209,403,850.55220,413,978.76222,764,084.87225,281,981.26232,822,042.17234,874,100.64236,955,360.99247,965,220.13272,228,254.91273,653,872.52276,552,138.73
 在建工程(元) 6,907,400.896,505,020.538,600,603.676,542,767.476,205,267.185,991,182.2316,128,005.5010,995,282.1636,832,933.8336,299,178.3836,228,423.66
 使用权资产(元) 12,397,831.5813,045,493.6116,498,892.8517,458,303.3214,988,479.2215,636,141.0916,334,046.0917,057,072.6419,487,988.8720,208,116.6133,693,111.34
 无形资产(元) 22,886,769.6526,102,790.6926,473,587.9927,053,032.2127,490,020.4027,495,945.8527,959,983.9529,062,027.1130,994,852.4132,004,804.7932,961,275.23
 开发支出(元) 3,080,548.483,080,548.482,487,249.912,487,249.912,302,577.751,728,901.701,375,362.88971,546.181,001,048.55636,459.94-
 长期待摊费用(元) 34,299,783.5433,966,492.5230,308,099.4727,511,544.0725,589,640.6325,812,689.9313,095,173.2911,393,255.816,716,331.436,100,124.655,216,008.35
 递延所得税资产(元) 95,033,136.2890,767,170.0088,586,438.0784,839,991.9575,454,344.7876,400,471.6669,793,906.0653,836,906.4243,809,843.2236,745,299.3435,846,516.70
 其他非流动资产(元) 16,950,417.2016,950,417.2016,950,417.2016,950,417.2017,172,317.2035,359,277.2035,359,277.2035,359,277.2034,721,860.0034,721,860.0034,721,860.00
 非流动资产合计(元) 2,556,583,598.972,566,107,645.652,562,146,289.162,563,311,787.612,526,787,190.872,529,265,567.572,520,026,316.292,510,018,431.932,530,157,097.022,529,338,288.282,537,274,945.85
资产总计(元) 5,789,775,287.015,918,767,751.916,004,483,239.015,926,389,975.455,488,743,810.465,299,335,331.145,350,765,524.565,350,996,365.915,027,260,650.894,960,540,635.854,908,530,253.91
流动负债:
 短期借款(元) 532,334,560.86468,202,113.46476,762,960.51487,371,472.29374,438,145.21412,879,861.52518,179,299.55478,594,525.27420,244,329.30354,497,650.21307,906,366.35
  其中:交易性金融负债(元) -101,522.35291,180.00-3,931,138.008,347,632.00743,936.00-9,069,179.626,797,392.27-
 应付票据及应付账款(元) 933,871,078.811,218,229,664.721,304,039,882.961,336,207,360.191,063,847,719.19924,754,325.57851,975,372.30948,832,851.84634,666,878.17702,933,222.44640,485,370.78
  其中:应付票据(元) 355,003,260.92686,081,950.44819,728,050.57643,001,975.27447,441,733.54334,592,362.40266,957,688.48172,778,639.2059,399,879.00114,077,137.99126,932,315.99
  其中:应付账款(元) 578,867,817.89532,147,714.28484,311,832.39693,205,384.92616,405,985.65590,161,963.17585,017,683.82776,054,212.64575,266,999.17588,856,084.45513,553,054.79
 预收款项(元) 7,504,814.655,711,814.845,596,018.295,907,322.197,812,724.825,760,588.033,599,981.915,688,852.165,923,262.511,506,207.483,133,405.82
 合同负债(元) 602,959,997.18570,316,518.03598,221,132.69500,773,319.54567,684,026.61525,189,559.30558,400,397.46492,003,594.83619,183,539.68562,995,177.93587,522,724.01
 应付职工薪酬(元) 63,825,260.6126,069,575.3639,093,731.8058,394,962.9836,563,065.7524,357,750.6825,025,489.1452,590,473.0851,522,509.4231,143,103.1238,682,648.99
 应交税费(元) 54,126,625.0041,251,605.5248,665,950.6279,131,521.2367,656,453.3365,475,515.6971,412,610.3693,363,520.5783,609,786.9274,124,090.4876,361,409.82
 应付股利(元) 1,454,900.4827,966,900.483,290,150.483,290,150.483,290,150.4827,966,900.481,454,900.481,454,900.485,054,900.4843,899,950.482,509,734.74
 其他应付款(元) 167,572,123.74144,146,221.89156,606,529.99160,000,893.43162,558,555.43141,300,395.51143,838,165.85134,841,265.79133,823,253.30127,897,202.18145,515,150.62
 一年内到期的非流动负债(元) 2,514,414.732,485,409.733,727,374.154,587,273.283,501,874.513,471,877.782,845,651.793,915,516.243,876,427.075,359,833.9419,271,506.92
 其他流动负债(元) 199,428,900.97207,297,164.93251,074,631.06223,716,928.48188,543,898.05161,753,621.44124,587,717.31148,841,953.2553,253,716.9547,591,114.9353,942,342.99
 流动负债合计(元) 2,565,592,677.032,711,778,511.312,887,369,542.552,859,381,204.092,479,827,751.382,301,258,028.002,302,063,522.152,360,127,453.512,020,227,783.421,958,744,945.461,875,330,661.04
非流动负债:
 长期借款(元) 120,000,000.00120,000,000.0045,000,000.005,559,173.415,784,545.326,009,917.236,235,289.1411,136,679.7920,810,928.9021,195,519.6121,771,921.63
 租赁负债(元) 11,697,467.2212,337,052.9314,294,301.6015,241,886.9714,211,881.9514,822,462.6616,022,575.3316,022,575.3320,222,976.7319,977,192.5419,724,433.78
 长期应付款(元) 752,517.68752,517.68835,742.68835,742.681,060,742.681,060,742.681,060,742.681,989,407.364,040,801.895,177,011.935,965,263.80
 预计负债(元) 16,498,225.0016,498,225.001,998,225.001,998,225.001,998,225.001,998,225.002,058,225.002,058,225.001,998,225.001,998,225.001,998,225.00
 递延所得税负债(元) 335,000,218.06335,312,166.59335,138,627.96335,001,862.46324,858,371.78326,098,248.86326,302,077.10324,782,683.02327,912,071.13328,626,350.64329,060,832.22
 非流动负债合计(元) 483,948,427.96484,899,962.20397,266,897.24358,636,890.52347,913,766.73349,989,596.43351,678,909.25355,989,570.50374,985,003.65376,974,299.72378,520,676.43
负债合计(元) 3,049,541,104.993,196,678,473.513,284,636,439.793,218,018,094.612,827,741,518.112,651,247,624.432,653,742,431.402,716,117,024.012,395,212,787.072,335,719,245.182,253,851,337.47
所有者权益(或股东权益):
 实收资本或股本(元) 246,767,500.00246,767,500.00246,767,500.00246,767,500.00246,767,500.00246,767,500.00246,767,500.00246,767,500.00246,767,500.00246,767,500.00246,767,500.00
 资本公积(元) 500,527,092.50500,517,735.03500,572,288.67500,533,839.22500,527,904.78500,736,575.99504,216,988.02495,144,725.61495,984,726.04501,883,890.71501,883,890.71
 其他综合收益(元) 722,568,519.46722,962,477.16722,488,688.30722,503,112.68707,940,422.70708,301,419.47705,325,381.31706,184,259.27711,755,707.50708,542,176.45701,910,623.93
 盈余公积(元) 159,416,810.15159,416,810.15159,416,810.15159,416,810.15157,610,194.39157,610,194.39157,610,194.39157,610,194.39150,347,151.45150,347,151.45150,347,151.45
 未分配利润(元) 493,816,552.73476,890,295.72485,085,255.61482,047,906.25472,341,425.37464,940,866.91481,556,388.37475,895,707.30468,659,722.27464,950,760.76487,864,964.81
 归属于母公司股东权益合计(元) 2,123,096,474.842,106,554,818.062,114,330,542.732,111,269,168.302,085,187,447.242,078,356,556.762,095,476,452.092,081,602,386.572,073,514,807.262,072,491,479.372,088,774,130.90
 少数股东权益(元) 617,137,707.18615,534,460.34605,516,256.49597,102,712.54575,814,845.11569,731,149.95601,546,641.07553,276,955.33558,533,056.56552,329,911.30565,904,785.54
 股东权益合计(元) 2,740,234,182.022,722,089,278.402,719,846,799.222,708,371,880.842,661,002,292.352,648,087,706.712,697,023,093.162,634,879,341.902,632,047,863.822,624,821,390.672,654,678,916.44
负债和股东权益合计(元) 5,789,775,287.015,918,767,751.916,004,483,239.015,926,389,975.455,488,743,810.465,299,335,331.145,350,765,524.565,350,996,365.915,027,260,650.894,960,540,635.854,908,530,253.91
公告日期 2024-10-302024-08-272024-04-302024-04-232023-10-312023-08-302023-04-292023-04-252022-10-292022-08-302022-04-30
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