江河集团 (601886.sh)

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资产负债表(江河集团)

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完整财报对比
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
流动资产:
 货币资金(元) 3,809,273,644.853,185,508,514.844,691,354,001.033,219,311,558.713,582,997,203.413,076,857,213.384,160,784,089.413,003,701,138.843,051,356,460.053,301,098,610.90
  其中:交易性金融资产(元) 320,817,817.72314,975,084.62321,725,123.04377,290,770.28433,265,747.66432,187,236.28447,497,546.31472,179,345.97398,304,179.34346,354,203.47
 应收票据及应收账款(元) 12,928,911,048.5111,734,368,621.3212,556,993,904.3912,651,378,405.3412,316,898,782.9110,921,497,571.9611,569,364,404.1711,989,174,231.5211,641,743,457.2510,905,258,820.85
  其中:应收票据(元) 272,964,758.11296,555,194.93304,248,210.84377,211,391.74323,347,624.33298,522,297.78186,112,401.45330,041,959.83420,836,470.62556,371,000.97
  其中:应收账款(元) 12,655,946,290.4011,437,813,426.3912,252,745,693.5512,274,167,013.6011,993,551,158.5810,622,975,274.1811,383,252,002.7211,659,132,271.6911,220,906,986.6310,348,887,819.88
 预付款项(元) 229,963,422.03366,560,109.82299,854,553.94354,257,949.34307,259,376.23459,261,120.18269,188,834.83318,355,148.15204,446,937.56187,339,445.08
 应收利息(元) -------285,624.89209,005.21-
 应收股利(元) ---------1,109,177.52
 其他应收款(元) 194,459,863.89255,865,357.01189,902,633.19365,672,354.04417,038,387.61412,438,343.56498,216,566.29711,259,074.00334,178,403.68330,779,689.80
 存货(元) 1,076,130,216.601,231,992,647.091,045,909,813.94953,983,194.111,009,411,393.791,157,222,622.761,027,053,117.891,122,962,296.591,182,609,869.771,302,156,187.91
 合同资产(元) 3,660,465,723.853,668,079,442.133,611,374,550.893,716,133,416.993,775,002,343.793,628,664,899.523,498,590,433.593,328,263,626.853,282,505,309.463,189,070,534.12
 其他流动资产(元) 684,505,884.53683,167,170.04636,445,745.86702,500,430.10721,052,464.17701,442,253.99638,491,066.78722,168,081.26665,347,065.15763,628,530.96
 流动资产合计(元) 22,924,673,575.0321,448,248,885.5923,388,045,160.3422,352,211,527.6722,567,503,568.8620,800,771,261.2222,138,783,071.5121,673,048,568.0720,760,700,687.4720,326,995,200.61
非流动资产:
 债权投资(元) 8,702,787.4513,756,631.828,642,078.848,910,976.938,854,008.418,562,459.188,588,654.2911,717,825.1410,983,634.6310,658,016.83
 长期股权投资(元) 97,347,897.71100,153,990.1598,707,941.32101,978,359.11120,888,972.46119,768,695.35118,762,487.52118,925,683.35103,676,036.88104,920,984.92
 其他权益工具投资(元) -------46,894,178.28434,870,085.94842,747,540.77
 其他非流动金融资产(元) 618,751,477.51607,655,187.16607,268,050.64614,064,602.11617,096,947.92611,946,033.71609,329,752.03693,463,383.88691,693,908.66688,551,720.01
 投资性房地产(元) 461,591,006.56465,383,315.14447,975,619.83201,467,914.01186,781,633.20192,667,214.54196,127,017.21201,394,270.42226,111,464.51156,918,718.53
 固定资产(元) 1,342,302,110.001,361,280,061.001,342,941,729.101,378,888,474.851,369,426,411.921,128,645,870.401,136,043,541.461,125,927,308.501,249,417,516.901,257,513,046.95
 在建工程(元) 419,517,578.96352,978,311.30322,475,171.80223,687,977.10179,245,025.34291,447,655.01237,140,632.42128,933,239.9464,630,147.7950,650,327.15
 使用权资产(元) 432,745,502.47432,720,111.53423,157,174.96405,241,856.72421,983,463.88402,153,445.22434,876,762.60470,738,482.14443,453,926.11464,641,257.98
 无形资产(元) 728,615,698.61728,046,011.50709,499,194.45733,783,477.62736,713,737.54737,919,141.16690,102,418.37694,785,112.56732,855,687.97735,083,611.55
 商誉(元) 392,894,527.96386,972,113.10395,361,243.22453,432,266.45454,208,742.06438,848,767.85445,869,162.74678,939,606.22669,676,576.00673,130,937.49
 长期待摊费用(元) 121,328,742.96107,440,033.65110,143,062.55110,019,275.8595,692,938.9899,575,438.3188,472,361.93110,121,883.64113,565,360.37108,190,944.10
 递延所得税资产(元) 721,948,373.53714,344,338.78728,065,511.68732,179,000.15721,401,133.05697,756,975.28701,354,689.94654,208,940.94632,950,954.44611,105,068.87
 其他非流动资产(元) 115,775,870.78117,450,699.27123,686,915.08125,531,201.95125,603,869.92122,515,421.45126,447,113.19112,304,444.1094,298,809.9782,699,602.01
 非流动资产合计(元) 5,461,521,574.505,388,180,804.405,317,923,693.475,089,185,382.855,037,896,884.684,851,807,117.464,793,114,593.705,048,354,359.115,468,184,110.175,786,811,777.16
资产总计(元) 28,386,195,149.5326,836,429,689.9928,705,968,853.8127,441,396,910.5227,605,400,453.5425,652,578,378.6826,931,897,665.2126,721,402,927.1826,228,884,797.6426,113,806,977.77
流动负债:
 短期借款(元) 1,524,190,507.291,428,310,714.291,491,436,049.051,563,104,620.771,883,681,158.071,604,524,414.051,316,884,129.831,589,945,669.761,463,570,504.211,343,506,709.23
 应付票据及应付账款(元) 14,314,861,785.8812,778,287,683.6614,686,855,520.5613,803,310,514.3413,912,909,652.9212,750,326,982.6614,132,428,085.4313,652,130,846.0713,498,442,511.7413,187,803,322.54
  其中:应付票据(元) 6,033,117,319.975,406,468,515.005,396,688,947.665,943,213,526.576,095,687,872.625,601,193,343.875,529,682,097.995,971,756,409.805,900,917,188.606,521,735,821.00
  其中:应付账款(元) 8,281,744,465.917,371,819,168.669,290,166,572.907,860,096,987.777,817,221,780.307,149,133,638.798,602,745,987.447,680,374,436.277,597,525,323.146,666,067,501.54
 合同负债(元) 1,231,603,802.301,364,610,276.951,187,146,000.901,153,859,392.87952,785,814.63964,676,666.76986,496,182.901,262,983,646.631,133,948,910.311,110,686,526.06
 应付职工薪酬(元) 195,329,133.66197,183,029.49452,036,789.65168,755,694.21179,258,866.42293,977,436.27449,884,423.34175,393,402.52159,942,374.46161,818,959.37
 应交税费(元) 186,224,878.87169,512,752.07222,009,964.04152,514,543.46162,836,667.98166,684,154.37172,151,082.10185,800,011.59138,507,887.52109,798,309.58
 应付股利(元) 87,500.0087,897.09396.92401.91403.84383.43391.27396.1378,836,152.16428.21
 其他应付款(元) 83,492,131.3479,201,285.7695,796,043.6188,666,095.02102,430,842.26101,018,784.34136,534,820.46127,080,495.82127,325,206.00112,730,193.34
 一年内到期的非流动负债(元) 437,673,667.16267,019,090.76343,923,330.40303,418,676.10413,652,413.08414,872,703.37629,148,471.25360,242,600.66405,268,693.51323,474,306.68
 其他流动负债(元) 835,754,004.27773,155,977.74828,503,682.68796,298,909.26798,583,314.03724,666,930.97755,018,173.61787,852,728.97871,170,850.60975,153,018.74
 流动负债合计(元) 18,809,217,410.7717,057,368,707.8119,307,707,777.8118,029,928,847.9418,406,139,133.2317,020,748,456.2218,578,545,760.1918,141,429,798.1517,877,013,090.5117,324,971,773.75
非流动负债:
 长期借款(元) 598,769,174.62725,804,309.96558,826,835.77791,893,775.67792,441,600.38454,539,872.21311,862,267.76319,073,941.61204,902,059.76352,328,806.52
 应付债券(元) -------208,004,407.58204,215,010.06200,466,801.65
 租赁负债(元) 390,157,202.58411,068,357.11394,869,332.41382,879,368.11373,251,931.93362,939,352.11381,768,362.44436,117,544.59395,681,505.10426,028,663.48
 长期应付款(元) 41,809,828.7349,997,324.1058,395,398.27101,332,611.11------
 预计负债(元) 4,122,291.834,602,368.994,547,319.524,971,972.015,594,836.364,050,779.514,853,299.9939,062,051.0030,259,575.8928,870,264.21
 递延收益(元) 20,358,410.6421,300,181.2022,292,198.9723,317,718.4621,374,570.2422,323,088.1823,471,607.8224,981,354.1726,709,016.9928,645,785.26
 递延所得税负债(元) 15,872,778.6319,662,342.4622,593,143.2815,945,312.1321,255,097.7518,901,104.7523,583,071.1122,219,343.3422,469,339.9821,701,372.99
 非流动负债合计(元) 1,071,089,687.031,232,434,883.821,061,524,228.221,320,340,757.491,213,918,036.66862,754,196.76745,538,609.121,049,458,642.29884,236,507.781,058,041,694.11
负债合计(元) 19,880,307,097.8018,289,803,591.6320,369,232,006.0319,350,269,605.4319,620,057,169.8917,883,502,652.9819,324,084,369.3119,190,888,440.4418,761,249,598.2918,383,013,467.86
所有者权益(或股东权益):
 实收资本或股本(元) 1,133,002,060.001,133,002,060.001,133,002,060.001,133,002,060.001,133,002,060.001,133,002,060.001,133,002,060.001,133,002,060.001,133,002,060.001,154,050,000.00
 资本公积(元) 3,696,436,655.043,696,436,655.043,696,436,655.043,696,284,127.643,696,785,183.043,696,749,558.463,696,560,577.223,696,502,057.943,696,297,652.233,825,800,188.28
 减:库存股(元) ---------156,911,311.53
 其他综合收益(元) 141,034,301.47127,695,035.40125,832,047.43162,919,562.91184,208,746.4224,196,409.1170,365,386.92-75,861,393.02-851,876,118.57-678,300,468.54
 盈余公积(元) 340,119,869.19340,119,869.19340,119,869.19310,540,865.27310,540,865.27310,540,865.27310,540,865.27293,142,942.15293,142,942.15293,142,942.15
 未分配利润(元) 1,869,853,618.411,955,699,123.851,773,979,735.991,530,351,613.931,423,957,617.181,317,626,920.531,139,739,180.691,284,464,734.651,935,194,560.471,934,923,922.18
 归属于母公司股东权益合计(元) 7,180,446,504.117,252,952,743.487,069,370,367.656,833,098,229.756,748,494,471.916,482,115,813.376,350,208,070.106,331,250,401.726,205,761,096.286,372,705,272.54
 少数股东权益(元) 1,325,441,547.621,293,673,354.881,267,366,480.131,258,029,075.341,236,848,811.741,286,959,912.331,257,605,225.801,199,264,085.021,261,874,103.071,358,088,237.37
 股东权益合计(元) 8,505,888,051.738,546,626,098.368,336,736,847.788,091,127,305.097,985,343,283.657,769,075,725.707,607,813,295.907,530,514,486.747,467,635,199.357,730,793,509.91
负债和股东权益合计(元) 28,386,195,149.5326,836,429,689.9928,705,968,853.8127,441,396,910.5227,605,400,453.5425,652,578,378.6826,931,897,665.2126,721,402,927.1826,228,884,797.6426,113,806,977.77
公告日期 2024-08-302024-04-302024-03-282023-10-312023-08-292023-04-282023-03-292022-10-282022-07-292022-04-20
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