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资产负债表(宣伟)

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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
截止日期 2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-31
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
报表年结日 12311231123112311231123112311231123112311231
原始币种 美元美元美元美元美元美元美元美元美元美元美元
上市前/上市后 上市后上市后上市后上市后上市后上市后上市后上市后上市后上市后上市后
流动资产:
 现金及现金等价物(元) 238,200,000.00200,000,000.00179,900,000.00276,800,000.00503,400,000.00209,400,000.00151,400,000.00198,800,000.00130,500,000.00312,600,000.00401,100,000.00
 应收账款及票据(元) 2,973,400,000.003,048,100,000.002,809,100,000.002,467,900,000.002,940,900,000.003,117,800,000.002,909,200,000.002,563,600,000.002,897,600,000.002,982,500,000.002,783,600,000.00
 存货(元) 2,267,400,000.002,289,100,000.002,378,000,000.002,329,800,000.002,244,300,000.002,439,000,000.002,707,800,000.002,626,500,000.002,547,800,000.002,411,600,000.002,328,600,000.00
 流动资产其他项目(元) 495,300,000.00513,400,000.00475,400,000.00438,400,000.00510,200,000.00584,400,000.00524,400,000.00518,800,000.00541,300,000.00552,800,000.00573,100,000.00
 流动资产合计(元) 5,974,300,000.006,050,600,000.005,842,400,000.005,512,900,000.006,198,800,000.006,350,600,000.006,292,800,000.005,907,700,000.006,117,200,000.006,259,500,000.006,086,400,000.00
非流动资产:
 物业、厂房及设备(元) 3,344,700,000.003,136,600,000.003,008,800,000.002,836,800,000.002,580,600,000.002,442,500,000.002,362,000,000.002,207,000,000.002,041,200,000.001,961,900,000.001,907,300,000.00
 无形资产(元) 3,656,900,000.003,692,800,000.003,777,500,000.003,880,500,000.003,824,000,000.003,934,400,000.004,103,500,000.004,002,000,000.003,958,300,000.003,955,100,000.004,004,000,000.00
 商誉(元) 7,657,000,000.007,606,900,000.007,621,400,000.007,626,000,000.007,412,300,000.007,446,500,000.007,445,400,000.007,583,200,000.007,318,200,000.007,106,100,000.007,058,800,000.00
 非流动资产其他项目(元) 3,335,400,000.003,247,100,000.003,178,000,000.003,098,200,000.002,988,800,000.002,992,100,000.002,926,200,000.002,894,100,000.002,810,900,000.002,770,200,000.002,673,900,000.00
 非流动资产合计(元) 17,994,000,000.0017,683,400,000.0017,585,700,000.0017,441,500,000.0016,805,700,000.0016,815,500,000.0016,837,100,000.0016,686,300,000.0016,128,600,000.0015,793,300,000.0015,644,000,000.00
总资产(元) 23,968,300,000.0023,734,000,000.0023,428,100,000.0022,954,400,000.0023,004,500,000.0023,166,100,000.0023,129,900,000.0022,594,000,000.0022,245,800,000.0022,052,800,000.0021,730,400,000.00
流动负债:
 短期债务及长期负债本期部分(元) 1,964,400,000.002,208,000,000.002,605,400,000.001,473,000,000.001,436,800,000.001,305,700,000.001,481,900,000.00978,700,000.00945,800,000.002,012,600,000.002,000,400,000.00
 融资租赁负债流动(元) 462,800,000.00457,800,000.00454,000,000.00449,300,000.00441,100,000.00436,100,000.00430,200,000.00425,300,000.00---
 应付账款及票据(元) 2,537,700,000.002,493,900,000.002,453,900,000.002,315,000,000.002,424,800,000.002,489,700,000.002,513,600,000.002,436,500,000.002,808,400,000.002,992,900,000.002,860,800,000.00
 应付税项流动(元) 940,500,000.00347,100,000.00240,000,000.00197,400,000.00379,800,000.00308,000,000.00315,100,000.00197,400,000.00205,300,000.00185,600,000.00178,200,000.00
 应付薪酬和福利(元) --560,200,000.00--------
 其他应付款及应计费用(元) 1,312,700,000.001,251,200,000.001,170,000,000.001,329,500,000.001,172,400,000.001,099,100,000.001,037,200,000.001,138,300,000.001,067,800,000.001,001,400,000.00925,400,000.00
 流动负债其他项目(元) -708,600,000.00-862,700,000.00768,300,000.00700,500,000.00528,000,000.00784,500,000.001,068,700,000.001,005,700,000.00988,300,000.00
 流动负债合计(元) 7,218,100,000.007,466,600,000.007,483,500,000.006,626,900,000.006,623,200,000.006,339,100,000.006,306,000,000.005,960,700,000.006,096,000,000.007,198,200,000.006,953,100,000.00
非流动负债:
 长期债务(元) 8,175,300,000.008,130,800,000.008,129,500,000.008,377,900,000.008,499,200,000.009,095,700,000.009,593,100,000.009,591,000,000.009,588,900,000.008,593,600,000.008,592,300,000.00
 融资租赁负债非流动(元) 1,496,500,000.001,502,900,000.001,495,100,000.001,509,500,000.001,502,900,000.001,503,200,000.001,494,900,000.001,512,900,000.00---
 递延所得税负债非流动(元) 631,700,000.00642,000,000.00666,300,000.00683,100,000.00648,400,000.00710,900,000.00739,900,000.00681,600,000.00691,800,000.00754,000,000.00760,200,000.00
 非流动负债其他项目(元) 2,157,400,000.002,106,700,000.002,016,800,000.001,908,000,000.001,811,500,000.001,746,800,000.001,689,900,000.001,606,400,000.003,014,800,000.003,024,900,000.002,932,100,000.00
 非流动负债合计(元) 12,594,100,000.0012,515,600,000.0012,440,900,000.0012,611,700,000.0012,601,300,000.0013,195,900,000.0013,657,100,000.0013,531,200,000.0013,552,000,000.0012,630,000,000.0012,543,000,000.00
总负债(元) 19,812,200,000.0019,982,200,000.0019,924,400,000.0019,238,600,000.0019,224,500,000.0019,535,000,000.0019,963,100,000.0019,491,900,000.0019,648,000,000.0019,828,200,000.0019,496,100,000.00
股东权益:
 普通股(元) 92,400,000.0092,100,000.0092,000,000.0091,800,000.0091,700,000.0091,400,000.0091,300,000.0091,200,000.0091,100,000.0091,000,000.0091,000,000.00
 库存股(元) -6,677,500,000.00-6,227,700,000.00-5,793,100,000.00-5,233,600,000.00-4,746,600,000.00-4,335,100,000.00-4,100,800,000.00-3,775,600,000.00-3,643,000,000.00-3,595,400,000.00-3,298,900,000.00
 股本溢价(元) 4,471,400,000.004,342,000,000.004,298,800,000.004,193,600,000.004,103,900,000.004,044,600,000.003,998,000,000.003,963,900,000.003,919,600,000.003,880,300,000.003,842,700,000.00
 留存收益(元) 6,946,000,000.006,322,300,000.005,611,000,000.005,288,300,000.005,087,400,000.004,481,500,000.003,844,100,000.003,523,200,000.003,292,600,000.002,763,300,000.002,341,500,000.00
 累计其他全面收益(元) -676,200,000.00-776,900,000.00-705,000,000.00-624,300,000.00-756,400,000.00-651,300,000.00-665,800,000.00-700,600,000.00-1,062,500,000.00-914,600,000.00-742,000,000.00
 归属于母公司股东权益(元) 4,156,100,000.003,751,800,000.003,503,700,000.003,715,800,000.003,780,000,000.003,631,100,000.003,166,800,000.003,102,100,000.002,597,800,000.002,224,600,000.002,234,300,000.00
 股东权益合计(元) 4,156,100,000.003,751,800,000.003,503,700,000.003,715,800,000.003,780,000,000.003,631,100,000.003,166,800,000.003,102,100,000.002,597,800,000.002,224,600,000.002,234,300,000.00
负债及股东权益合计(元) 23,968,300,000.0023,734,000,000.0023,428,100,000.0022,954,400,000.0023,004,500,000.0023,166,100,000.0023,129,900,000.0022,594,000,000.0022,245,800,000.0022,052,800,000.0021,730,400,000.00
公告日期 2024-10-222024-07-232024-04-302024-02-202023-10-242023-07-252023-04-252023-02-222022-10-252022-07-272022-04-26
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