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格力电器

(000651)

  

流通市值:2502.68亿  总市值:2541.92亿
流通股本:55.15亿   总股本:56.01亿

资产负债表

报告期2025-03-312024-12-312024-09-302024-06-30
公司类型通用通用通用通用
流动资产:
货币资金124,472,018,105.34113,900,461,797.94111,396,658,188.03119,805,076,724.91
衍生金融资产--165,384,814.16-
应收票据及应收账款18,814,278,247.5916,831,887,388.0618,588,630,380.1321,028,608,747.24
其中:应收票据--295,559.863,705,032.37
应收账款18,814,278,247.5916,831,887,388.0618,588,334,820.3320,964,903,714.87
应收款项融资12,497,622,084.949,600,726,284.7713,318,504,787.7411,489,135,763.57
预付款项2,443,825,309.411,530,312,318.652,515,765,992.453,907,995,479.97
其他应收款合计1,627,407,991.3869,731,224.4472,404,493.51761,351,629.44
应收股利3,925,690.044,325,690.049,709,408.855,523,620.06
买入返售金融资产5,701,244,979.145,625,977,294.574,902,071,232.895,437,838,767.16
存货27,936,117,097.3527,910,910,515.5525,337,318,250.8829,123,420,009.3
合同资产540,364,223.61592,399,551.89710,054,957.76791,757,741.45
一年内到期的非流动资产32,371,370,744.7813,854,786,730.7310,996,902,077.459,645,721,129.35
其他流动资产18,411,506,480.9817,537,456,912.8320,757,237,734.0920,612,726,399.36
流动资产平衡项目0000
流动资产合计260,682,320,312.98224,802,908,651.88223,700,116,128.71234,266,891,835.33
非流动资产:
发放委托贷款及垫款335,857,967.1431,208,935.61486,226,862.12,944,599,117.33
债权投资1,013,466,666.631,001,466,666.641,166,514,027.382,153,643,350.72
其他债权投资7,987,237,548.577,016,555,220.768,926,244,264.179,135,353,392.69
长期应收款8,338,090.879,483,113.9258,849,937.359,972,676.76
长期股权投资4,007,466,086.934,355,712,251.543,866,289,091.683,590,512,081.32
其他权益工具投资2,830,507,470.43,039,588,563.463,518,641,288.92,918,961,749.28
其他非流动金融资产---507,307,397
投资性房地产433,796,021.71464,658,386.2472,678,989.36576,374,894.99
固定资产36,374,925,767.6836,996,168,856.8437,020,325,695.8333,751,264,006.21
在建工程3,046,015,179.083,076,380,868.84,197,138,551.17,332,222,712.59
使用权资产773,689,265.31789,763,790.64797,053,868.73817,264,026.52
无形资产10,344,537,144.5810,438,873,258.0110,595,604,859.3510,598,014,924.69
商誉1,367,729,072.131,367,729,072.131,626,619,660.621,452,496,852.11
长期待摊费用36,260,507.1637,344,681.1128,404,005.4223,141,156.13
递延所得税资产18,260,823,612.7417,670,885,568.9317,301,257,854.4318,019,484,591.47
其他非流动资产47,065,827,375.8856,532,976,636.3956,949,025,467.0956,408,004,531.77
非流动资产平衡项目0000
非流动资产合计133,886,477,776.77143,228,795,870.98147,010,874,423.46150,288,617,461.58
资产平衡项目0000
资产总计394,568,798,089.75368,031,704,522.86370,710,990,552.17384,555,509,296.91
流动负债:
短期借款49,620,853,438.4439,009,527,273.2248,573,491,746.9538,604,396,857.98
吸收存款及同业存放273,546,375.59307,788,319.03291,453,204.06282,156,520.44
衍生金融负债33,382,919.56170,740,734.87-121,673,261.84
应付票据及应付账款64,308,791,831.6361,570,321,509.1759,526,807,836.9865,298,630,337.67
其中:应付票据16,732,663,846.7114,479,000,765.1213,974,759,308.317,711,869,927.62
应付账款47,576,127,984.9247,091,320,744.0545,552,048,528.6847,586,760,410.05
合同负债18,248,039,164.6712,491,059,928.5310,875,961,371.3914,106,105,367.47
应付职工薪酬3,905,141,026.74,390,657,219.555,259,430,710.984,745,221,486.07
应交税费2,988,575,186.492,713,045,051.024,425,115,218.085,048,054,029.56
其他应付款合计5,561,752,884.594,556,911,705.224,352,920,511.7717,450,457,872.87
应付股利3,889,950.333,889,950.333,889,950.3313,147,798,266.4
一年内到期的非流动负债27,757,696,954.4215,577,179,285.8916,628,027,299.2220,282,600,587.59
其他流动负债61,522,596,028.3860,338,210,355.3661,752,159,538.8462,224,561,049.52
流动负债平衡项目0000
流动负债合计234,220,375,810.47201,125,441,381.86211,685,367,438.27228,163,857,371.01
非流动负债:
长期借款5,837,481,138.2818,229,817,922.1322,423,449,414.828,115,781,089.02
租赁负债702,826,275.04711,291,189.69757,013,350.27765,743,295.49
长期应付款7,912,428.097,912,428.0910,485,890.5113,341,857
长期应付职工薪酬232,700,456.52232,702,529.58195,057,663195,057,663
递延收益3,440,161,671.463,409,749,454.133,443,295,226.153,483,234,695.74
递延所得税负债2,834,579,995.432,801,094,669.412,643,309,896.242,427,905,420.73
非流动负债平衡项目0000
非流动负债合计13,055,661,964.8225,392,568,193.0329,472,611,440.9735,001,064,020.98
负债平衡项目0000
负债合计247,276,037,775.29226,518,009,574.89241,157,978,879.24263,164,921,391.99
所有者权益(或股东权益):
实收资本(或股本)5,601,405,7415,601,405,7415,631,405,7415,631,405,741
资本公积471,908,017.37472,179,369.51,675,437,016.181,672,356,846.72
减:库存股1,686,334,178.282,616,565,976.683,857,045,395.743,857,045,395.74
其他综合收益-312,692,809.14182,018,285.77-403,991,877.45-1,158,775,234.7
专项储备32,396,295.7831,676,129.8829,862,062.1928,870,208.95
盈余公积1,218,489,568.531,789,443,715.251,731,224,477.241,731,224,477.24
一般风险准备509,245,480.58509,245,480.58509,245,480.58509,245,480.58
未分配利润137,351,955,644.55131,447,496,201.09121,030,405,143.86113,205,680,045.37
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143,186,373,760.39137,416,898,946.39126,346,542,647.86117,762,962,169.42
少数股东权益4,106,386,554.074,096,796,001.583,206,469,025.073,627,625,735.5
股东权益平衡项目0000
股东权益合计147,292,760,314.46141,513,694,947.97129,553,011,672.93121,390,587,904.92
负债和股东权益合计394,568,798,089.75368,031,704,522.86370,710,990,552.17384,555,509,296.91
公告日期2025-04-282025-04-282024-10-312024-08-31
审计意见(境内)标准无保留意见
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