四川长虹 (600839.sh)

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资产负债表(四川长虹)

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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) 24,470,031,211.0826,382,196,391.5022,653,195,401.2822,646,238,982.3719,226,723,000.6221,615,590,514.3423,195,487,179.8520,384,934,706.9617,614,690,637.01
  其中:交易性金融资产(元) 683,557,448.78-391,146,454.91221,258,934.55690,392,876.71300,302,465.75701,271,864.08691,249,017.59620,000,000.00
 衍生金融资产(元) 45,168,765.0675,444,012.01100,902,909.05202,035,705.9287,872,062.46140,654,579.58324,322,173.84183,194,593.6969,374,446.17
 应收票据及应收账款(元) 16,542,369,738.0715,462,503,703.0715,285,508,173.3815,306,555,308.0414,061,782,457.4612,173,808,173.3512,626,432,961.5613,962,518,919.4912,318,900,971.51
  其中:应收票据(元) 449,579,237.74488,219,664.05331,604,760.63308,466,489.97246,564,512.94270,935,819.26228,679,643.26223,036,853.91307,493,552.82
  其中:应收账款(元) 16,092,790,500.3314,974,284,039.0214,953,903,412.7514,998,088,818.0713,815,217,944.5211,902,872,354.0912,397,753,318.3013,739,482,065.5812,011,407,418.69
 预付款项(元) 1,817,929,130.601,548,897,544.101,667,433,929.031,392,283,854.921,409,141,284.801,308,963,977.761,512,031,593.671,923,179,641.362,053,781,950.70
 应收股利(元) -4,550,000.00----7,000,000.007,000,000.007,000,000.00
 其他应收款(元) 379,246,701.41381,861,864.18460,551,324.06400,765,867.08546,878,909.60457,853,171.90494,232,840.05488,050,895.67504,534,764.12
 存货(元) 20,191,722,817.0719,547,118,874.8518,498,885,670.0619,087,533,083.4919,695,356,425.5918,887,178,958.4418,506,419,971.0917,482,202,943.8418,250,619,579.71
 合同资产(元) 128,912,060.27128,352,590.31165,450,378.99160,256,350.3990,736,009.6989,638,392.2639,912,741.7937,374,060.0932,236,578.07
 持有待售资产(元) -653,228,574.81-------
 一年内到期的非流动资产(元) 427,804,415.821,054,619,525.851,147,467,764.511,147,278,653.40427,692,894.19653,726,673.41392,500,000.00609,661,013.19-
 其他流动资产(元) 2,791,131,808.122,744,795,040.872,775,958,221.943,595,010,512.483,673,579,285.143,579,734,612.621,076,448,304.68802,758,504.71929,112,515.68
 流动资产合计(元) 70,585,258,173.5070,576,584,981.8965,700,299,623.0666,395,476,509.6362,464,868,830.3861,604,985,683.7461,572,470,108.8058,873,428,394.6855,418,098,212.95
非流动资产:
 债权投资(元) 1,359,154,569.591,026,238,314.86581,253,809.37464,621,535.771,212,292,653.58941,815,792.471,194,494,430.561,194,305,319.44-
 长期应收款(元) 3,714,074,587.593,694,643,176.753,816,015,639.014,385,097,408.724,807,022,936.804,807,624,128.544,458,145,990.794,366,663,960.484,505,322,537.61
 长期股权投资(元) 4,171,150,999.744,142,529,810.784,093,780,717.413,937,709,830.113,979,809,807.153,927,940,613.563,920,947,180.543,817,863,851.853,794,913,028.47
 其他非流动金融资产(元) 472,331,000.11406,952,970.78384,223,676.09114,339,443.57110,043,121.02109,867,625.71124,340,751.17148,166,356.59149,358,746.79
 投资性房地产(元) 1,128,872,562.901,143,798,876.731,151,248,796.891,154,853,848.78661,468,109.44669,800,538.69663,176,100.84669,002,608.00671,726,734.73
 固定资产(元) 7,283,798,924.667,289,459,265.527,549,959,535.447,519,354,542.137,572,212,152.987,645,035,554.897,628,486,464.067,633,642,785.357,525,034,190.02
 在建工程(元) 215,930,708.70208,304,894.69210,774,654.34299,400,274.07307,670,909.29240,691,007.73283,044,938.17319,356,139.14416,143,492.55
 使用权资产(元) 321,596,395.41317,809,510.15269,043,764.90214,063,984.82219,222,466.36175,625,785.24263,341,806.34257,938,962.98266,868,795.13
 无形资产(元) 4,183,180,534.594,224,152,289.304,293,656,503.764,368,649,123.424,353,833,408.884,372,579,828.844,227,495,597.994,227,410,644.524,209,611,237.44
 开发支出(元) 489,261,769.85449,386,543.23456,702,866.39415,859,811.78380,629,260.45394,582,245.85513,359,097.97540,058,385.43577,322,844.45
 商誉(元) 141,820,328.31141,820,328.31151,439,442.39151,439,442.39151,439,442.39151,439,442.39171,049,967.54171,049,967.54171,049,967.54
 长期待摊费用(元) 70,910,479.3678,092,458.8457,585,501.7548,571,774.1051,155,468.8550,977,264.1730,330,007.0333,793,926.7535,401,326.61
 递延所得税资产(元) 484,446,567.77498,944,363.41407,167,763.11392,345,138.67377,237,433.11350,636,181.46341,326,117.02339,819,816.26310,599,673.65
 其他非流动资产(元) 196,219,968.91201,532,411.9599,733,879.1496,039,922.4194,492,399.4294,136,410.76183,141,449.43105,773,529.7095,649,515.19
 非流动资产合计(元) 24,232,749,397.4923,823,665,215.3023,522,586,549.9923,562,346,080.7424,278,529,569.7223,932,752,420.3024,002,679,899.4523,824,846,254.0322,729,002,090.18
资产总计(元) 94,818,007,570.9994,400,250,197.1989,222,886,173.0589,957,822,590.3786,743,398,400.1085,537,738,104.0485,575,150,008.2582,698,274,648.7178,147,100,303.13
流动负债:
 短期借款(元) 13,844,199,121.8912,474,520,582.8613,469,503,888.0513,825,058,441.5113,529,175,438.0314,426,877,979.0416,406,962,654.3616,406,571,426.3813,752,406,796.97
 衍生金融负债(元) 135,783,533.31105,951,376.41219,577,382.36288,355,865.02140,140,511.77148,732,154.25246,400,165.03138,004,007.77103,836,424.15
 应付票据及应付账款(元) 40,892,546,318.3341,546,571,384.6035,357,968,437.5337,074,835,793.8935,093,708,282.1834,848,490,148.6433,227,460,405.5831,344,801,692.1329,380,238,819.70
  其中:应付票据(元) 20,914,592,478.9322,122,252,375.0917,564,658,613.6618,619,134,858.6217,908,870,042.0219,228,361,086.8618,643,303,771.8717,477,993,134.2614,290,086,788.26
  其中:应付账款(元) 19,977,953,839.4019,424,319,009.5117,793,309,823.8718,455,700,935.2717,184,838,240.1615,620,129,061.7814,584,156,633.7113,866,808,557.8715,090,152,031.44
 预收款项(元) 15,372,214.2916,253,730.48-------
 合同负债(元) 2,357,161,041.582,749,913,571.943,500,599,678.273,162,261,232.242,856,528,665.452,524,933,114.542,922,929,461.712,700,167,403.732,914,990,087.63
 应付职工薪酬(元) 954,010,751.771,153,888,463.14986,853,652.35951,690,490.68899,496,359.651,115,992,914.16956,290,499.51749,968,620.21745,696,894.64
 应交税费(元) 476,170,023.16504,755,290.15498,582,980.99531,843,593.59475,264,663.98499,118,952.01439,491,268.90529,323,366.81419,992,176.22
 应付股利(元) 133,482,530.27134,212,262.97205,765,547.64346,980,297.79153,663,379.11138,388,224.16138,403,422.66278,251,896.23142,649,740.26
 其他应付款(元) 3,567,702,243.363,397,789,025.083,710,093,034.933,437,317,387.573,443,498,593.923,377,591,062.594,105,887,861.473,694,410,102.283,111,004,620.51
 持有待售负债(元) -300,676,167.63-------
 一年内到期的非流动负债(元) 2,718,729,406.492,423,802,254.831,431,044,027.261,908,228,391.012,325,662,000.642,050,933,593.771,325,772,471.871,320,495,288.651,627,468,156.77
 其他流动负债(元) 303,356,868.98345,892,287.78362,008,182.33266,935,542.46275,283,576.64217,468,371.73244,628,033.27228,628,281.75325,918,283.13
 流动负债合计(元) 65,398,514,053.4365,154,226,397.8759,741,996,811.7161,793,507,035.7659,192,421,471.3759,348,526,514.8960,014,226,244.3657,390,622,085.9452,524,201,999.98
非流动负债:
 长期借款(元) 3,133,776,090.273,101,951,484.733,894,510,694.443,209,508,333.342,657,687,006.951,552,018,329.722,059,473,687.501,996,070,000.002,199,491,583.33
 租赁负债(元) 239,667,124.81235,883,028.82191,479,153.66142,040,848.46150,870,414.91131,252,515.82143,921,964.40116,267,133.12119,974,189.74
 长期应付款(元) 55,814,113.1855,900,347.8455,986,582.5056,149,108.1056,197,197.2956,245,286.4856,293,375.6756,597,422.8656,682,643.20
 长期应付职工薪酬(元) 248,895,868.76249,977,029.25240,900,926.47236,357,813.59238,696,348.54242,066,714.37169,106,359.63168,761,031.60173,273,355.86
 预计负债(元) 520,218,038.65623,183,427.65635,892,627.68628,443,223.91560,837,213.24547,039,454.31382,251,082.99376,871,597.01364,603,596.15
 递延收益(元) 657,246,101.78686,788,749.29741,117,192.09744,429,492.44709,847,839.24725,298,069.59738,225,964.11745,931,060.55757,228,563.22
 递延所得税负债(元) 241,832,657.39231,948,140.01214,847,721.43131,877,117.44126,224,206.7198,390,348.9474,412,027.8572,419,017.0970,765,779.32
 非流动负债合计(元) 5,097,449,994.845,185,632,207.595,974,734,898.275,148,805,937.284,500,360,226.883,352,310,719.233,623,684,462.153,532,917,262.233,742,019,710.82
负债合计(元) 70,495,964,048.2770,339,858,605.4665,716,731,709.9866,942,312,973.0463,692,781,698.2562,700,837,234.1263,637,910,706.5160,923,539,348.1756,266,221,710.80
所有者权益(或股东权益):
 实收资本或股本(元) 4,616,244,222.004,616,244,222.004,616,244,222.004,616,244,222.004,616,244,222.004,616,244,222.004,616,244,222.004,616,244,222.004,616,244,222.00
 资本公积(元) 3,656,193,158.583,656,193,158.583,656,650,774.753,656,825,637.623,655,473,981.463,688,509,043.633,658,308,487.833,658,308,487.833,658,493,316.63
 其他综合收益(元) -28,809,756.45-28,878,741.68-38,322,825.97-58,526,816.24-4,396,576.94-5,145,949.15-15,895,378.8025,259,116.1879,328,746.20
 专项储备(元) 58,699,034.0853,960,980.6056,944,610.2247,537,256.3245,617,483.9733,168,772.3124,342,068.4323,367,393.0023,299,769.62
 盈余公积(元) 202,335,263.00202,335,263.00202,335,263.00202,335,263.00202,335,263.00202,335,263.00202,335,263.00202,335,263.00202,335,263.00
 未分配利润(元) 5,766,558,253.575,627,914,844.745,418,999,810.965,142,410,646.145,207,813,256.705,125,257,366.024,883,555,266.914,809,436,902.654,800,014,507.03
 归属于母公司股东权益合计(元) 14,271,220,174.7814,127,769,727.2413,912,851,854.9613,606,826,208.8413,723,087,630.1913,660,368,717.8113,368,889,929.3713,334,951,384.6613,379,715,824.48
 少数股东权益(元) 10,050,823,347.949,932,621,864.499,593,302,608.119,408,683,408.499,327,529,071.669,176,532,152.118,568,349,372.378,439,783,915.888,501,162,767.85
 股东权益合计(元) 24,322,043,522.7224,060,391,591.7323,506,154,463.0723,015,509,617.3323,050,616,701.8522,836,900,869.9221,937,239,301.7421,774,735,300.5421,880,878,592.33
负债和股东权益合计(元) 94,818,007,570.9994,400,250,197.1989,222,886,173.0589,957,822,590.3786,743,398,400.1085,537,738,104.0485,575,150,008.2582,698,274,648.7178,147,100,303.13
公告日期 2024-04-262024-04-262023-10-262023-08-252023-04-262023-04-262022-10-262022-08-252022-04-27
审计意见(境内) 标准无保留意见标准无保留意见
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