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物产中大

(600704)

  

流通市值:230.68亿  总市值:234.22亿
流通股本:51.15亿   总股本:51.93亿

资产负债表

报告期2023-09-302023-06-302023-03-312022-12-31
公司类型通用通用通用通用
流动资产:
货币资金34,632,745,151.0636,156,473,40331,508,448,858.2322,077,905,430.26
拆出资金---487,500,000
衍生金融资产554,078,417.63302,656,575.35347,446,244.95366,940,145.46
应收票据及应收账款17,269,861,591.9217,308,870,632.215,198,342,748.9815,127,212,096.77
其中:应收票据55,004,962.5951,150,717.9158,022,156.8332,937,629.35
应收账款17,214,856,629.3317,257,719,914.2915,140,320,592.1515,094,274,467.42
应收款项融资2,056,351,699.021,843,680,557.962,363,158,913.271,697,400,745.19
预付款项27,268,360,159.5522,674,702,285.2723,935,318,745.6317,520,858,984.37
其他应收款合计2,919,573,702.931,685,367,660.582,034,088,303.831,437,637,527.51
其中:应收利息-101,849.31-6,590,253.66
应收股利1,805,341.491,880,000--
存货48,058,216,429.3245,884,467,431.6749,431,517,108.5634,978,192,905.21
合同资产164,914,106.24131,649,097.08117,332,452.21145,779,931.22
一年内到期的非流动资产340,234,229.15277,339,880.24355,556,216.58676,617,744.63
其他流动资产5,954,732,225.185,493,501,677.815,318,482,594.835,315,537,628.64
流动资产平衡项目0000
流动资产合计144,047,084,816.99135,935,683,512.79134,695,661,079.2101,937,940,718.98
非流动资产:
发放委托贷款及垫款2,354,074,653.981,772,823,558.762,013,194,103.471,861,422,032.97
债权投资1,571,365,389.771,295,658,413.94642,132,386.39408,737,090
长期应收款8,535,125,839.689,142,995,119.18,598,292,883.947,695,561,539.57
长期股权投资3,291,027,030.53,221,426,208.683,200,272,805.543,212,602,296.7
其他权益工具投资92,882,329.0253,860,601.0253,850,601.0252,470,601.02
其他非流动金融资产2,974,354,763.263,105,277,500.693,120,348,239.092,468,113,757.72
投资性房地产3,083,862,139.573,061,644,307.683,059,528,977.653,017,426,279.49
固定资产11,756,828,367.4111,463,986,776.6410,962,763,520.5411,062,523,631.02
在建工程1,693,031,650.61,480,065,531.481,989,291,089.221,915,050,193.44
生产性生物资产108,441.95231,788.42355,134.89495,681.36
使用权资产905,419,607.68956,108,623.41,027,148,067.031,057,624,604.17
无形资产5,630,137,398.775,650,501,186.755,677,873,681.475,754,322,317.83
开发支出38,758,076.7849,980,053.2744,830,492.8737,720,510.73
商誉1,891,057,149.281,831,813,760.861,901,355,731.311,835,843,813.18
长期待摊费用540,024,419.4562,798,796.96569,258,214.13546,503,230.92
递延所得税资产1,598,277,935.221,661,874,047.451,353,398,443.681,619,124,146.37
其他非流动资产2,768,691,235.25764,891,924.34384,043,464.44772,107,020.55
非流动资产平衡项目0-0.0100
非流动资产合计48,725,026,428.1246,075,938,199.4344,597,937,836.6843,317,648,747.04
资产平衡项目0000
资产总计192,772,111,245.11182,011,621,712.22179,293,598,915.88145,255,589,466.02
流动负债:
短期借款34,227,469,507.3330,447,870,175.0426,576,635,587.4517,098,070,976.94
交易性金融负债439,677,050.35425,272,194.58410,842,685.36369,025,259.71
衍生金融负债637,964,973.67731,903,845.93692,818,233.59745,004,649.42
应付票据及应付账款46,782,939,462.1344,362,365,178.437,821,086,047.3530,882,663,926.04
其中:应付票据31,846,281,805.4128,135,924,956.5719,890,237,134.9718,551,896,068.17
应付账款14,936,657,656.7216,226,440,221.8317,930,848,912.3812,330,767,857.87
预收款项422,189,620.26399,261,095.49675,419,578.34411,952,839.79
合同负债25,561,252,559.9622,547,864,185.7225,348,777,585.3516,192,046,267.25
应付职工薪酬1,453,048,868.071,219,225,332.811,028,293,124.81,895,414,795.26
应交税费1,018,971,217.181,011,319,235.621,345,798,360.231,604,706,283.82
其他应付款合计6,368,032,911.16,719,367,105.146,615,918,900.396,075,343,457.01
应付股利11,670,679.45801,717,498.597,585,679.4516,607,700
一年内到期的非流动负债917,202,973.67949,207,099.75807,597,550.28936,427,192.02
其他流动负债10,824,619,675.311,914,461,337.1916,401,774,546.7210,340,786,222.09
流动负债平衡项目0000
流动负债合计128,653,368,819.02120,728,116,785.67117,724,962,199.8686,551,441,869.35
非流动负债:
长期借款3,035,111,817.743,083,588,254.963,102,200,942.62,656,772,698.94
应付债券8,783,981,795.46,816,937,217.786,810,616,788.786,820,978,386.55
租赁负债887,778,051.88838,853,408.12978,945,772.53845,029,580.83
长期应付款585,160,189.03725,524,1351,124,980,342.11403,117,913.58
预计负债133,582,307.4889,933,393.41105,373,613.5995,552,129.51
递延收益188,880,148.33193,154,303.73182,889,293.78191,387,314.41
递延所得税负债1,135,376,343.961,122,314,509.39905,541,031.131,094,136,236.34
其他非流动负债364,210,002.3401,354,966.44566,796,319.59611,499,804.71
非流动负债平衡项目0000
非流动负债合计15,114,080,656.1213,271,660,188.8313,777,344,104.1112,718,474,064.87
负债平衡项目0000
负债合计143,767,449,475.14133,999,776,974.5131,502,306,303.9799,269,915,934.22
所有者权益(或股东权益):
实收资本(或股本)5,193,362,0405,193,362,0405,194,872,0405,194,872,040
其他权益工具1,913,368,845.91,913,372,312.921,913,397,048.261,913,417,240.37
永续债1,867,000,0001,867,000,0001,867,000,0001,867,000,000
资本公积8,380,547,066.188,346,822,9848,315,815,158.738,240,329,885.17
减:库存股385,910,800385,910,800390,108,600390,108,600
其他综合收益1,040,081,258.511,042,108,456.27981,935,059.91996,533,922.33
专项储备11,577,997.7413,394,4669,586,764.549,491,933.59
盈余公积1,466,503,216.061,466,503,216.061,466,503,216.061,466,503,216.06
未分配利润18,188,065,115.8417,416,186,094.9817,280,052,583.2116,317,210,132.02
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35,807,594,740.2335,005,838,770.2334,772,053,270.7133,748,249,769.54
少数股东权益13,197,067,029.7413,006,005,967.4913,019,239,341.212,237,423,762.26
股东权益平衡项目0000
股东权益合计49,004,661,769.9748,011,844,737.7247,791,292,611.9145,985,673,531.8
负债和股东权益合计192,772,111,245.11182,011,621,712.22179,293,598,915.88145,255,589,466.02
公告日期2023-10-242023-08-292023-04-252023-04-25
审计意见(境内)标准无保留意见
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