星宇股份 (601799.sh)

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资产负债表(星宇股份)

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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) 2,344,693,231.331,628,123,293.971,153,359,668.182,104,662,099.051,139,604,586.581,863,910,679.002,094,873,691.111,489,135,959.971,576,829,923.301,374,108,821.032,512,826,789.61
  其中:交易性金融资产(元) 495,183,778.081,181,713,185.331,992,174,840.921,156,956,231.411,721,148,991.921,258,507,206.001,787,278,744.572,623,326,365.132,658,026,107.122,597,229,274.691,736,393,539.83
 应收票据及应收账款(元) 5,566,007,750.874,876,795,526.784,426,164,363.984,398,135,694.483,954,765,025.423,243,800,082.072,617,721,481.642,460,325,142.722,187,827,690.192,109,967,433.682,198,146,291.79
  其中:应收票据(元) 2,197,211,012.181,910,164,690.631,886,365,314.341,332,193,793.531,365,244,307.671,102,416,402.821,219,342,900.261,158,461,820.40944,516,894.73992,251,377.661,240,799,672.64
  其中:应收账款(元) 3,368,796,738.692,966,630,836.152,539,799,049.643,065,941,900.952,589,520,717.752,141,383,679.251,398,378,581.381,301,863,322.321,243,310,795.461,117,716,056.02957,346,619.15
 预付款项(元) 53,722,768.2361,836,598.4934,825,518.4438,633,261.7158,350,962.6964,452,558.3579,983,450.8457,408,615.9959,541,570.1446,452,700.0150,707,751.93
 其他应收款(元) 3,583,507.233,916,745.842,616,487.973,563,115.227,942,317.887,814,795.726,342,750.218,607,987.5510,553,005.839,113,572.0910,198,632.52
 存货(元) 2,589,540,025.662,386,007,519.162,453,411,362.722,245,406,476.002,204,929,315.192,061,644,223.132,109,958,996.292,326,070,166.462,220,385,067.512,035,410,594.241,880,829,902.20
 其他流动资产(元) 25,445,841.2725,454,776.2910,912,891.2017,701,359.8810,289,038.4414,450,108.2510,942,485.5012,926,805.536,904,200.447,425,723.8214,035,367.66
 流动资产合计(元) 11,078,176,902.6710,163,847,645.8610,073,465,133.419,965,058,237.759,097,030,238.128,514,579,652.528,707,101,600.168,977,801,043.358,720,067,564.538,179,708,119.568,403,138,275.54
非流动资产:
 其他权益工具投资(元) 335,473,217.24336,385,274.78335,871,876.00335,844,237.89306,797,333.83277,165,841.93273,263,843.70264,054,685.57227,748,339.17223,623,561.05184,923,579.76
 固定资产(元) 3,276,895,428.573,231,390,412.433,170,707,889.463,015,972,961.002,906,380,501.862,805,501,377.682,698,347,795.892,673,456,946.332,504,360,135.552,475,377,482.162,166,130,367.92
 在建工程(元) 577,028,497.25594,026,790.30586,202,404.38732,413,573.47682,308,125.20841,628,443.65713,115,871.17597,389,622.39724,552,738.25646,587,497.65779,333,200.60
 使用权资产(元) 27,675,423.1631,323,036.4634,970,649.7639,110,036.1720,970,478.1823,949,646.6727,715,246.074,097,327.445,698,854.967,300,382.6412,126,293.56
 无形资产(元) 466,907,123.21473,597,309.25462,478,333.84456,395,050.61449,929,154.33445,290,044.84439,190,974.96439,726,897.41427,201,556.65435,005,974.77438,363,874.99
 长期待摊费用(元) 121,401,250.76136,420,434.26136,626,053.46131,583,150.4493,708,596.75105,193,918.06107,272,227.84107,919,003.3595,830,317.5083,319,018.9479,778,046.27
 递延所得税资产(元) 27,304,025.7523,952,858.2423,351,765.3221,433,019.6121,205,030.5320,833,345.1829,714,866.2818,607,953.0920,335,164.7819,878,814.9516,880,542.76
 其他非流动资产(元) 109,839,338.21102,975,279.2379,615,070.7876,605,990.27140,379,511.54151,565,082.66153,384,626.47153,618,073.08111,633,921.75169,473,601.59184,105,912.07
 非流动资产合计(元) 4,942,524,304.154,930,071,394.954,829,824,043.004,809,358,019.464,621,678,732.224,671,127,700.674,442,005,452.384,258,870,508.664,117,361,028.614,060,566,333.753,861,641,817.93
资产总计(元) 16,020,701,206.8215,093,919,040.8114,903,289,176.4114,774,416,257.2113,718,708,970.3413,185,707,353.1913,149,107,052.5413,236,671,552.0112,837,428,593.1412,240,274,453.3112,264,780,093.47
流动负债:
 应付票据及应付账款(元) 5,233,909,765.244,709,285,055.864,528,629,282.394,527,247,006.523,974,196,181.093,729,392,554.963,478,729,781.243,840,678,184.113,669,642,966.033,427,119,734.653,318,065,658.24
  其中:应付票据(元) 2,011,357,391.652,027,035,752.442,184,412,766.261,984,991,637.481,648,647,674.781,551,833,462.531,691,939,108.711,647,435,226.971,467,198,290.191,487,118,138.601,512,979,166.53
  其中:应付账款(元) 3,222,552,373.592,682,249,303.422,344,216,516.132,542,255,369.042,325,548,506.312,177,559,092.431,786,790,672.532,193,242,957.142,202,444,675.841,940,001,596.051,805,086,491.71
 合同负债(元) 15,518,083.5918,337,853.9823,024,745.807,464,976.0819,902,023.0412,367,758.8210,846,452.1716,745,972.2113,316,612.509,235,489.1712,468,053.01
 应付职工薪酬(元) 132,401,029.24116,803,851.5387,564,803.65177,852,705.27113,625,373.29102,724,667.4387,560,526.37128,359,293.56117,192,179.8198,160,689.1085,168,253.14
 应交税费(元) 85,010,010.0373,646,943.9782,937,611.36105,426,743.8687,913,460.8184,812,720.11161,609,871.7287,402,971.7963,127,240.4240,668,731.1460,313,400.98
 应付股利(元) 56,753,648.80----------
 其他应付款(元) 11,070,612.388,468,692.4710,968,962.4010,765,617.3411,779,533.2810,137,809.339,247,854.979,376,847.437,438,242.247,688,047.1510,725,721.57
 一年内到期的非流动负债(元) 16,788,983.3714,951,239.7313,922,054.4012,971,940.576,959,561.786,407,245.432,008,646.843,524,271.254,928,236.145,214,172.661,332,820.67
 其他流动负债(元) 52,327,638.4349,528,853.1563,122,084.1654,052,723.5248,909,033.3440,678,205.5028,101,154.6630,881,290.8939,865,171.8241,836,259.8728,503,673.60
 流动负债合计(元) 5,603,779,771.084,991,022,490.694,810,169,544.164,895,781,713.164,263,285,166.633,986,520,961.583,778,104,287.974,116,968,831.243,915,510,648.963,629,923,123.743,516,577,581.21
非流动负债:
 租赁负债(元) 9,204,521.8513,911,339.4016,026,160.8824,349,972.5412,123,609.7312,558,047.8218,668,700.4653,947.70215,181.29937,581.186,331,145.45
 长期应付款(元) 145,162,076.32153,341,782.78160,096,489.27166,851,195.76173,605,902.25180,360,608.74187,114,215.23193,870,021.72200,623,628.21200,578,334.76205,332,941.20
 预计负债(元) 70,950,809.5960,146,613.5340,598,013.9059,248,628.2545,962,809.5158,619,848.0948,995,039.9650,383,471.0326,105,116.2627,043,672.2127,030,196.47
 递延收益(元) 435,221,066.21444,360,881.22455,991,722.89467,969,124.38388,103,464.01398,574,299.71402,461,937.52325,191,175.15329,144,716.18329,680,361.00330,596,943.07
 递延所得税负债(元) 34,915,493.8139,888,773.1140,823,842.4324,013,656.3630,412,765.5517,957,929.4319,003,025.3828,482,692.5366,001,225.5852,772,373.0555,683,815.15
 非流动负债合计(元) 695,453,967.78711,649,390.04713,536,229.37742,432,577.29650,208,551.05668,070,733.79676,242,918.55597,981,308.13622,089,867.52611,012,322.20624,975,041.34
负债合计(元) 6,299,233,738.865,702,671,880.735,523,705,773.535,638,214,290.454,913,493,717.684,654,591,695.374,454,347,206.524,714,950,139.374,537,600,516.484,240,935,445.944,141,552,622.55
所有者权益(或股东权益):
 实收资本或股本(元) 285,679,419.00285,679,419.00285,679,419.00285,679,419.00285,679,419.00285,679,419.00285,679,419.00285,679,419.00285,679,419.00285,679,419.00285,679,419.00
 资本公积(元) 4,176,293,293.634,176,293,293.634,176,293,293.634,176,293,293.634,176,293,293.634,176,293,293.634,176,293,293.634,176,293,293.634,176,293,293.634,176,293,293.634,176,293,293.63
 减:库存股(元) 220,030,803.70220,030,803.70220,030,803.70220,030,803.70220,030,803.70185,519,630.4742,381,499.42----
 其他综合收益(元) 60,678,711.7156,667,357.1255,947,889.0855,344,280.5144,875,859.8251,205,524.3422,321,295.7510,526,091.68-23,826,742.19-27,870,399.61-30,282,584.45
 盈余公积(元) 179,346,065.82179,346,065.82179,346,065.82179,346,065.82179,346,065.82179,346,065.82179,346,065.82179,346,065.82179,346,065.82179,346,065.82179,346,065.82
 未分配利润(元) 5,239,500,781.504,913,291,828.214,902,347,539.054,659,569,711.504,339,051,418.094,024,110,985.504,073,501,271.243,869,876,542.513,682,336,040.403,385,890,628.533,512,191,276.92
 归属于母公司股东权益合计(元) 9,721,467,467.969,391,247,160.089,379,583,402.889,136,201,966.768,805,215,252.668,531,115,657.828,694,759,846.028,521,721,412.648,299,828,076.667,999,339,007.378,123,227,470.92
 股东权益合计(元) 9,721,467,467.969,391,247,160.089,379,583,402.889,136,201,966.768,805,215,252.668,531,115,657.828,694,759,846.028,521,721,412.648,299,828,076.667,999,339,007.378,123,227,470.92
负债和股东权益合计(元) 16,020,701,206.8215,093,919,040.8114,903,289,176.4114,774,416,257.2113,718,708,970.3413,185,707,353.1913,149,107,052.5413,236,671,552.0112,837,428,593.1412,240,274,453.3112,264,780,093.47
公告日期 2024-10-262024-08-162024-04-262024-03-282023-10-262023-08-262023-04-282023-03-302022-10-282022-08-262022-04-28
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