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建发股份

(600153)

  

流通市值:287.05亿  总市值:302.21亿
流通股本:28.53亿   总股本:30.04亿

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98,346,466,548.7296,207,286,468.26121,595,295,775.59113,335,028,304.77
衍生金融资产464,767,715.13382,539,923.67105,637,063.49640,032,351.49
应收票据及应收账款20,939,542,967.7117,878,814,949.8216,106,894,352.5817,282,350,801.61
其中:应收票据16,329,901.27153,150,128.03123,535,941.04143,182,793.1
应收账款20,923,213,066.4417,725,664,821.7915,983,358,411.5417,139,168,008.51
应收款项融资435,705,749.511,438,855,536.241,412,570,108.381,822,031,753.28
预付款项37,283,045,546.8655,902,917,302.9455,558,298,602.4670,671,237,069.9
其他应收款合计71,218,735,267.9382,542,889,651.6190,210,528,665.979,046,702,813.86
其中:应收利息35,998,839.6234,595,714.69--
应收股利150,748,172.0696,400,580.7196,400,580.71108,015,480.71
存货370,185,746,353.37451,815,120,999.75433,265,772,768.79389,703,292,370.3
合同资产2,014,270,212.542,248,782,494.36640,675,850.9766,043,087.1
一年内到期的非流动资产3,662,122,107.393,183,034,232.242,314,548,974.891,891,308,013.16
其他流动资产21,639,090,003.4224,290,761,981.0522,976,775,635.7921,894,726,002.19
流动资产平衡项目0000
流动资产合计629,798,443,670.16740,616,795,052.1748,457,389,267.31700,582,525,559.77
非流动资产:
债权投资73,473,848.572,746,666.69674,788,884.31873,799,218.5
长期应收款5,635,556,503.324,165,030,514.553,114,115,086.32,305,073,073.34
长期股权投资35,496,842,754.5432,848,975,885.4728,221,602,986.6826,124,509,636.11
其他权益工具投资1,757,631,048.711,905,397,819.86--
其他非流动金融资产916,585,719.921,202,412,622.371,155,511,511.41,221,208,469.29
投资性房地产113,360,275,022.52111,211,162,245.1115,487,371,530.615,523,814,535.52
固定资产8,289,774,758.366,796,592,043.464,008,570,231.213,964,757,260.2
在建工程179,278,858.22,842,255,619.112,844,182,677.822,776,927,335.16
使用权资产3,824,749,787.543,718,444,421.011,005,889,243.9982,810,481.8
无形资产1,739,404,490.421,680,449,687.431,143,383,590.951,150,179,065.12
开发支出15,598,554.2913,003,523.0112,235,918.0311,370,131.71
商誉1,021,573,016.651,021,652,767.53922,782,435.77896,490,002.45
长期待摊费用1,207,622,773.8924,642,176.96560,849,140.12568,062,344.72
递延所得税资产11,891,790,893.4716,561,258,423.2213,128,278,933.612,027,732,422.09
其他非流动资产5,643,267,158.295,596,484,131.796,092,210,151.881,438,216,785.69
非流动资产平衡项目0000
非流动资产合计191,053,425,188.53190,560,508,547.5778,371,772,322.5769,864,950,761.7
资产平衡项目0000
资产总计820,851,868,858.69931,177,303,599.67826,829,161,589.88770,447,476,321.47
流动负债:
短期借款9,612,814,045.6630,053,382,848.0939,420,943,372.6640,367,708,043.88
衍生金融负债263,448,811.88592,480,861.31936,203,464.78277,138,868.26
应付票据及应付账款93,058,060,752.1197,937,418,538.397,024,368,472.179,030,271,773.53
其中:应付票据33,362,118,601.9650,404,941,155.5646,437,920,167.9833,091,266,649.45
应付账款59,695,942,150.1547,532,477,382.7450,586,448,304.1245,939,005,124.08
预收款项948,324,833.811,130,028,325.63105,210,556.188,819,217.69
合同负债236,957,728,521.9314,215,256,235.96304,630,774,958.36277,866,140,851.55
应付职工薪酬4,458,804,765.183,589,314,678.932,800,846,811.522,997,373,167.63
应交税费8,238,217,236.888,681,606,377.637,652,105,482.036,623,187,549.64
其他应付款合计55,044,580,667.4952,999,620,700.9848,936,481,716.8641,553,213,768.04
应付股利261,683,976.85278,398,760.083,533,282,864.34128,835,715.36
一年内到期的非流动负债23,369,038,012.3119,443,704,566.8212,855,683,330.8916,730,913,910.85
其他流动负债24,265,366,497.325,884,362,063.4730,597,271,317.1328,724,508,528.33
流动负债平衡项目0000
流动负债合计457,047,506,122.73554,527,175,197.12544,959,889,482.43494,259,275,679.4
非流动负债:
长期借款63,231,889,953.5870,236,452,352.0751,229,231,700.6557,437,766,168.26
应付债券41,360,828,202.6337,489,655,555.0940,128,297,254.0636,829,358,676.88
租赁负债3,552,417,918.813,837,916,456.8757,878,910.62727,817,438.44
长期应付款632,652,982.35666,724,475.77124,144,962.92129,855,777.37
预计负债413,919,561.62337,612,803.14304,745,739.76292,878,682.44
递延收益364,686,009.79397,234,603.952,403,507.8151,161,338.29
递延所得税负债15,620,096,892.5718,203,928,105.74,418,106,458.474,120,575,409.03
其他非流动负债13,988,824,515.4116,229,148,145.8612,132,500,00012,536,200,000
非流动负债平衡项目0000
非流动负债合计139,165,316,036.76147,398,672,498.33109,147,308,534.29112,125,613,490.71
负债平衡项目0000
负债合计596,212,822,159.49701,925,847,695.45654,107,198,016.72606,384,889,170.11
所有者权益(或股东权益):
实收资本(或股本)3,004,071,3383,005,171,0303,005,171,0303,005,171,030
其他权益工具13,058,758,300.9212,089,003,583.9311,090,950,376.3811,092,192,263.28
永续债13,058,758,300.9212,089,003,583.9311,090,950,376.3811,092,192,263.28
资本公积4,629,125,057.94,649,568,049.454,608,650,090.54,552,177,841.85
减:库存股846,511,066.16901,610,087.64901,610,087.64901,610,087.64
其他综合收益749,314,019.14588,046,534.28712,260,494.92469,310,535.49
专项储备907,124.82842,714.07816,376.54786,273.53
盈余公积1,588,674,762.061,588,674,762.061,588,674,762.061,588,674,762.06
一般风险准备19,267,603.219,267,603.219,267,603.219,267,603.2
未分配利润47,307,376,186.7646,669,049,830.4836,300,533,877.537,739,040,219.94
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69,510,983,326.6467,708,014,019.8356,424,714,523.4657,565,010,441.71
少数股东权益155,128,063,372.56161,543,441,884.39116,297,249,049.7106,497,576,709.65
股东权益平衡项目0000
股东权益合计224,639,046,699.2229,251,455,904.22172,721,963,573.16164,062,587,151.36
负债和股东权益合计820,851,868,858.69931,177,303,599.67826,829,161,589.88770,447,476,321.47
公告日期2024-04-162023-10-312023-08-312023-04-29
审计意见(境内)标准无保留意见
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