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华数传媒

(000156)

  

流通市值:115.51亿  总市值:131.74亿
流通股本:16.25亿   总股本:18.53亿

资产负债表

报告期2023-12-312023-09-302023-06-302023-03-31
公司类型通用通用通用通用
流动资产:
货币资金6,528,128,635.15,041,741,518.124,958,298,200.55,493,837,639.52
结算备付金0---
拆出资金0---
衍生金融资产0---
应收票据及应收账款1,915,694,542.761,953,252,782.51,856,868,936.341,556,412,970.3
其中:应收票据12,569,889.918,513,401.18,213,353.6311,375,095.31
应收账款1,903,124,652.851,944,739,381.41,848,655,582.711,545,037,874.99
应收款项融资106,174,436.6897,897.3239,00044,409,929.94
预付款项89,873,541.14115,457,681.0699,201,443.4797,996,180.17
应收保费0---
应收分保账款0---
应收分保合同准备金0---
其他应收款合计187,489,022.16510,882,218.87221,052,730.27228,659,271.59
其中:应收利息--27,260,212.72-
应收股利1,190,954.97---
买入返售金融资产0---
存货1,261,000,912.011,063,099,208.331,071,948,5751,135,157,197.22
合同资产1,214,792,988.091,241,085,233.321,025,707,3721,091,105,465.22
一年内到期的非流动资产0---
其他流动资产727,098,354.82403,417,624.21458,449,724.48472,458,786.63
流动资产平衡项目0000
流动资产合计12,061,419,788.8410,354,523,617.319,716,255,435.6410,147,306,894.17
非流动资产:
发放委托贷款及垫款0---
债权投资0---
其他债权投资2,294,430,530.143,530,913,593.453,198,236,478.372,232,727,561.92
长期应收款229,664,310.55251,239,575.89257,371,692.34223,975,779.35
长期股权投资301,080,249.78307,972,874.9299,403,354.51300,016,426.44
其他权益工具投资2,328,521.082,328,521.082,328,521.082,328,521.08
其他非流动金融资产519,800,000519,800,000519,800,000519,800,000
投资性房地产0---
固定资产9,389,179,636.519,170,305,815.119,117,758,631.319,031,364,282.46
在建工程1,257,190,221.511,323,954,605.861,333,498,125.921,377,544,533.67
生产性生物资产0---
油气资产0---
使用权资产236,394,427.16238,589,033.69252,654,906.6269,974,645.3
无形资产584,580,487.4570,215,092.74560,599,316.15564,748,550.94
开发支出01,320,313.98--
商誉535,910,399535,910,399535,910,399535,910,399
长期待摊费用1,839,542,045.571,882,955,925.861,877,078,544.21,810,046,896.43
递延所得税资产22,681,685.5624,885,589.8624,885,589.8625,455,525.49
其他非流动资产6,000,0007,217,350.666,855,863.486,146,161.19
非流动资产平衡项目0000
非流动资产合计17,218,782,514.2618,367,608,692.0817,986,381,422.8216,900,039,283.27
资产平衡项目0000
资产总计29,280,202,303.128,722,132,309.3927,702,636,858.4627,047,346,177.44
流动负债:
短期借款1,127,424,220.561,258,967,363.711,679,433,677.621,418,070,377.35
向中央银行借款0---
吸收存款及同业存放0---
拆入资金0---
交易性金融负债0---
衍生金融负债0---
应付票据及应付账款4,325,549,051.983,831,263,824.153,496,112,750.653,341,116,662.96
其中:应付票据619,756,524.7368,503,074.35293,864,818.5336,869,138.18
应付账款3,705,792,527.283,462,760,749.83,202,247,932.153,004,247,524.78
预收款项0---
合同负债2,968,082,888.252,817,726,711.922,702,341,316.822,745,934,125.55
卖出回购金融资产款0---
应付手续费及佣金0---
应付职工薪酬642,312,037.48416,533,372.84393,156,740316,205,377
应交税费34,595,750.0366,095,856.4951,254,634.2450,482,214.22
其他应付款合计479,498,701.23764,262,776.35543,324,020.79593,413,678.56
应付股利--677,819.08-
应付分保账款0---
保险合同准备金0---
代理买卖证券款0---
代理承销证券款0---
一年内到期的非流动负债94,256,589.3829,241,333.3129,241,333.3137,594,201.28
其他流动负债1,009,889,229.531,001,400,824.976,435,377.432,279,826.79
流动负债平衡项目0000
流动负债合计10,681,608,468.4410,185,492,063.748,901,299,850.868,505,096,463.71
非流动负债:
长期借款0---
应付债券0---
优先股0---
永续债0---
租赁负债137,449,976.18237,150,090.8261,732,281.42251,955,136.1
长期应付款02,489,4892,489,4892,489,489
长期应付职工薪酬2,938,5901,651,8421,669,7941,688,445
预计负债0---
递延收益98,529,146.1168,988,066.870,346,096.6368,204,812.65
递延所得税负债0---
其他非流动负债3,151,904,932.13,177,664,951.713,179,433,524.993,142,630,174.06
非流动负债平衡项目0000
非流动负债合计3,390,822,644.393,487,944,440.313,515,671,186.043,466,968,056.81
负债平衡项目0000
负债合计14,072,431,112.8313,673,436,504.0512,416,971,036.911,972,064,520.52
所有者权益(或股东权益):
实收资本(或股本)1,961,510,321.781,961,510,321.781,961,510,321.781,961,510,321.78
其他权益工具0---
优先股0---
永续债0---
资本公积8,923,404,749.628,922,132,402.928,922,132,402.928,922,132,402.92
减:库存股0---
其他综合收益2,243,778.372,060,616.12,060,616.12,060,616.1
专项储备0---
盈余公积487,228,190.99445,696,554.4445,696,554.4445,696,554.4
一般风险准备0---
未分配利润3,447,834,591.983,332,698,719.863,570,550,460.93,363,738,694.12
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14,822,221,632.7414,664,098,615.0614,901,950,356.114,695,138,589.32
少数股东权益385,549,557.53384,597,190.28383,715,465.46380,143,067.6
股东权益平衡项目0000
股东权益合计15,207,771,190.2715,048,695,805.3415,285,665,821.5615,075,281,656.92
负债和股东权益合计29,280,202,303.128,722,132,309.3927,702,636,858.4627,047,346,177.44
公告日期2024-04-092023-10-302023-08-282023-04-29
审计意见(境内)标准无保留意见
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