当前位置:首页 - 行情中心 - 今创集团(603680) - 财务分析 - 资产负债表

今创集团

(603680)

  

流通市值:59.25亿  总市值:59.25亿
流通股本:7.84亿   总股本:7.84亿

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723,068,300.43671,273,534.741,040,429,162.51736,944,705.69
应收票据及应收账款3,116,074,216.643,122,378,108.892,952,493,854.832,887,208,264.55
其中:应收票据120,460,597.91236,096,428.07374,507,227.57442,408,999.09
应收账款2,995,613,618.732,886,281,680.822,577,986,627.262,444,799,265.46
应收款项融资241,377,921.31274,523,255.06292,289,220.11429,521,727.7
预付款项86,445,998.180,708,038.5683,427,427.9665,436,256.76
其他应收款合计28,128,757.549,621,612.149,244,730.5851,898,460.68
应收股利---2,000,000
存货1,753,041,176.411,640,488,428.071,624,020,153.291,545,882,728.53
合同资产30,204,073.8442,411,389.6242,106,450.4444,285,678.63
一年内到期的非流动资产10,988,342.5210,891,301.4210,795,315.11-
其他流动资产204,744,879.83160,188,060.34129,181,094.11118,499,427.94
流动资产平衡项目0000
流动资产合计6,312,073,666.586,134,483,728.86,347,987,408.945,962,310,772.81
非流动资产:
长期股权投资320,923,539.1310,506,526.66341,110,947.64336,177,702.32
其他权益工具投资220,868,570.97217,100,570.97217,100,570.97217,100,570.97
投资性房地产241,313,806.29234,175,766.28237,697,950.55240,902,404
固定资产1,079,523,025.711,050,428,632.51,046,465,643.911,076,732,626.87
在建工程9,793,581.0171,377,656.1770,148,314.9268,389,333.69
使用权资产59,544,726.1146,348,789.3246,753,636.3650,210,388.47
无形资产305,822,997.12309,974,286.27311,746,459.72308,840,191.23
开发支出785,126.05574,806.1758,457.15,832,855.66
商誉777,969.06777,969.06777,969.06777,969.06
长期待摊费用4,504,510.315,624,470.745,778,361.96,753,923.66
递延所得税资产123,634,522.14124,813,415.83118,056,991.5120,595,226.2
其他非流动资产432,628,316.63422,626,153.44357,933,114.02366,210,526.65
非流动资产平衡项目0000
非流动资产合计2,800,120,690.52,794,329,043.412,753,628,417.652,798,523,718.78
资产平衡项目0000
资产总计9,112,194,357.088,928,812,772.219,101,615,826.598,760,834,491.59
流动负债:
短期借款1,214,557,586.71,111,662,080.811,439,480,197.16957,912,801.22
交易性金融负债591,744.233,530,432.191,808,159.86-
应付票据及应付账款1,402,750,080.761,459,355,990.471,408,127,707.251,313,714,052.78
其中:应付票据481,085,596.12477,775,834.02504,558,951.04415,919,053.03
应付账款921,664,484.64981,580,156.45903,568,756.21897,794,999.75
预收款项1,667,965.273,879,678.02135,0002,961,969.33
合同负债169,570,610.76181,474,552.14137,166,110.5154,681,325.1
应付职工薪酬138,190,681.73121,818,255.3597,706,427.89159,677,370.91
应交税费33,342,556.8433,643,611.8939,638,506.6872,756,098.49
其他应付款合计74,185,251.82126,318,839.6562,369,351.4662,749,227.75
其中:应付利息949,933.3394,333.332,894,533.332,057,533.33
应付股利-62,697,501.36--
一年内到期的非流动负债140,022,234.79184,391,827.43464,738,274.75620,885,542.43
其他流动负债121,811,766.5171,893,02547,907,460.1752,415,288.64
流动负债平衡项目0000
流动负债合计3,296,690,479.413,297,968,292.953,699,077,195.723,397,753,676.65
非流动负债:
长期借款426,704,669.43355,896,562.35162,827,893.29159,959,648.89
租赁负债52,782,769.237,920,791.0837,928,431.3538,044,502.01
长期应付款295,975,979.19297,243,771296,939,592.82297,563,710.82
长期应付职工薪酬3,041,362.863,158,528.053,005,114.632,976,404.75
预计负债40,252,080.7940,165,037.5535,663,365.5333,129,754.04
递延收益62,640,564.7968,483,224.9675,774,410.9870,333,917.68
递延所得税负债14,025,916.7614,325,536.714,279,145.8514,446,293.17
非流动负债平衡项目0000
非流动负债合计895,423,343.02817,193,451.69626,417,954.45616,454,231.36
负债平衡项目0000
负债合计4,192,113,822.434,115,161,744.644,325,495,150.174,014,207,908.01
所有者权益(或股东权益):
实收资本(或股本)783,718,767783,718,767783,718,767783,718,767
资本公积1,604,302,502.761,604,302,502.761,604,302,502.761,604,302,502.76
其他综合收益-8,360,570.81-18,902,867.76-23,284,407.51-28,034,440.98
盈余公积450,634,975.66450,634,975.66450,634,975.66450,634,975.66
未分配利润2,166,640,542.382,071,803,313.092,044,366,884.922,017,226,068.2
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4,996,936,216.994,891,556,690.754,859,738,722.834,827,847,872.64
少数股东权益-76,855,682.34-77,905,663.18-83,618,046.41-81,221,289.06
股东权益平衡项目0000
股东权益合计4,920,080,534.654,813,651,027.574,776,120,676.424,746,626,583.58
负债和股东权益合计9,112,194,357.088,928,812,772.219,101,615,826.598,760,834,491.59
公告日期2023-10-302023-08-292023-04-272023-04-27
审计意见(境内)标准无保留意见
TOP↑