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上汽集团

(600104)

  

流通市值:1720.09亿  总市值:1720.09亿
流通股本:115.75亿   总股本:115.75亿

资产负债表

报告期2024-03-312023-12-312023-09-302023-06-30
公司类型通用通用通用通用
流动资产:
货币资金143,948,082,848.19143,635,984,032.11136,634,998,818.31139,125,228,659.69
应收票据及应收账款70,411,062,803.0377,112,790,595.3979,310,539,056.8170,078,250,527.73
其中:应收票据7,855,293,037.669,093,233,742.034,830,073,656.394,588,585,954.11
应收账款62,555,769,765.3768,019,556,853.3674,480,465,400.4265,489,664,573.62
应收款项融资16,841,801,147.0716,717,326,180.6514,672,869,693.6612,669,539,780.55
预付款项33,635,875,501.0126,663,439,410.1621,847,828,211.3922,982,456,473.88
其他应收款合计14,035,433,622.1815,945,618,770.2215,372,208,596.6217,850,587,101.4
其中:应收利息1,111,004,688.331,029,187,510.1973,919,670.96697,437,888.06
应收股利548,132,660.32997,179,769.655,368,650,304.626,232,959,285.18
买入返售金融资产1,159,556,269.217,378,279,765.495,888,604,570.674,776,412,767.23
存货91,376,337,705.3998,603,705,752.1194,321,938,340.5892,673,149,026.4
一年内到期的非流动资产53,480,077,826.657,542,577,397.7956,144,753,424.249,733,095,727.09
其他流动资产112,267,382,599.03129,206,875,988.2992,693,258,092.6893,462,990,813.97
流动资产平衡项目0000
流动资产合计585,168,227,514.01619,608,636,778.94574,295,367,647.99556,366,398,094.63
非流动资产:
发放委托贷款及垫款62,176,482,289.9465,276,170,042.1569,437,466,776.978,449,320,118.96
债权投资22,175,665,084.5223,536,184,00026,921,350,483.227,238,000,000
其他债权投资5,586,770,160.024,569,999,800483,313,03030,331,650
长期应收款10,069,885,533.159,912,919,554.859,304,679,233.919,812,188,983.81
长期股权投资64,449,040,512.7266,701,232,178.5858,787,152,581.6658,879,810,573.85
其他权益工具投资12,020,871,200.4313,713,232,621.6215,511,998,337.7316,018,311,534.46
其他非流动金融资产18,965,113,421.5222,775,688,309.1921,045,728,495.819,706,620,026.67
投资性房地产1,916,214,113.92,409,648,237.532,114,502,495.582,051,275,856.08
固定资产83,016,259,429.0383,891,373,583.2482,230,573,516.8880,986,749,165.72
在建工程15,843,664,91913,827,514,290.4215,504,347,951.3115,690,087,623.24
使用权资产9,893,967,473.1710,412,315,346.9610,236,118,712.7410,414,051,495.33
无形资产20,395,708,876.2720,838,234,122.3519,559,064,792.0719,399,319,801.65
开发支出3,805,996,060.653,563,190,618.053,285,576,451.343,662,715,668.75
商誉1,210,740,899.771,210,740,899.771,227,548,847.41,227,749,062.61
长期待摊费用3,747,174,592.63,220,280,8203,038,559,057.952,858,615,770.42
递延所得税资产30,334,082,743.5830,668,413,094.1227,227,237,060.627,287,360,131.53
其他非流动资产8,799,706,840.1810,514,504,363.7712,138,113,323.9911,591,515,849.51
非流动资产平衡项目0000
非流动资产合计374,407,344,150.45387,041,641,882.6378,053,331,149.06385,304,023,312.59
资产平衡项目0000
资产总计959,575,571,664.461,006,650,278,661.54952,348,698,797.05941,670,421,407.22
流动负债:
短期借款61,278,065,749.8244,920,602,982.1237,317,393,674.9235,753,229,858.82
吸收存款及同业存放38,449,047,690.4352,554,107,622.9146,059,907,852.1243,569,225,894.27
拆入资金46,056,031,942.448,630,585,445.2937,317,684,985.4842,231,303,318.03
交易性金融负债2,266,010.0250,226,585.3242,593,180.9543,973,108.26
应付票据及应付账款238,819,461,013.07264,702,863,245.91251,951,022,659.04235,448,795,773.54
其中:应付票据79,856,407,961.386,030,218,667.5270,370,669,063.6364,414,133,874.99
应付账款158,963,053,051.77178,672,644,578.39181,580,353,595.41171,034,661,898.55
合同负债24,572,645,446.5321,844,539,308.4222,884,670,584.3622,716,209,889.62
卖出回购金融资产款395,996,942.71490,410,00069,570,000120,150,000
应付职工薪酬9,398,788,148.6513,066,441,462.8312,567,488,878.2211,415,668,128.68
应交税费5,801,204,126.656,492,247,225.524,099,263,005.964,080,112,285.81
其他应付款合计47,174,717,848.3364,180,277,309.8652,471,880,284.8862,241,378,742.51
其中:应付利息18,855,138.7418,965,585.9881,556,707.3478,120,641.68
应付股利348,672,973.13348,107,084.762,764,420,424.277,389,298,920.41
一年内到期的非流动负债20,480,925,042.3627,365,163,161.7925,982,853,342.1824,996,213,174.03
其他流动负债3,010,330,021.663,142,690,818.062,301,184,052.51,926,271,873.11
流动负债平衡项目0000
流动负债合计495,439,479,982.63547,440,155,168.03493,065,512,500.61484,542,532,046.68
非流动负债:
长期借款52,112,546,899.9751,454,950,549.8550,510,208,178.9151,204,580,518.73
应付债券10,151,148,537.5611,424,373,533.219,739,517,757.479,920,001,328.64
租赁负债11,192,269,736.510,664,794,265.211,081,940,240.7411,414,306,532.4
长期应付款885,872,011.281,067,067,503.2896,353,044.14868,113,540.97
长期应付职工薪酬4,995,312,348.374,917,773,927.884,991,338,866.764,966,998,147.77
预计负债18,530,577,853.2318,630,005,539.5117,019,619,154.617,175,720,446.74
递延收益10,922,484,319.5911,560,896,427.0815,545,235,238.8217,203,550,679.74
递延所得税负债3,082,626,1053,104,631,891.393,535,781,659.833,666,038,652.2
其他非流动负债3,391,468,626.83,478,397,395.162,684,436,843.663,068,142,344.58
非流动负债平衡项目0000
非流动负债合计115,264,306,438.3116,302,891,032.48116,004,430,984.93119,487,452,191.77
负债平衡项目0000
负债合计610,703,786,420.93663,743,046,200.51609,069,943,485.54604,029,984,238.45
所有者权益(或股东权益):
实收资本(或股本)11,575,299,44511,683,461,36511,683,461,36511,683,461,365
资本公积55,327,834,981.4457,444,934,93057,922,723,521.957,919,357,643.8
减:库存股1,851,502,543.544,005,777,667.933,803,747,278.83,794,644,602.41
其他综合收益8,415,015,210.958,046,397,472.089,557,715,759.0210,079,149,381.82
专项储备922,840,942.49913,497,633.88936,597,651.52933,043,191.27
盈余公积40,843,171,648.5140,843,171,648.5140,843,171,648.5140,843,171,648.51
一般风险准备3,921,807,227.173,921,807,227.173,921,807,227.173,921,807,227.17
未分配利润170,184,701,323.72167,471,253,017.24164,840,429,507.42160,335,600,216.54
归属于母公司股东权益平衡项目0000
归属于母公司股东权益合计289,339,168,235.74286,318,745,625.95285,902,159,401.74281,920,946,071.7
少数股东权益59,532,617,007.7956,588,486,835.0857,376,595,909.7755,719,491,097.07
股东权益平衡项目0000
股东权益合计348,871,785,243.53342,907,232,461.03343,278,755,311.51337,640,437,168.77
负债和股东权益合计959,575,571,664.461,006,650,278,661.54952,348,698,797.05941,670,421,407.22
公告日期2024-04-302024-03-302023-10-272023-08-31
审计意见(境内)标准无保留意见
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