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首页 公告 晨鸣纸业:2020年半年度财务报告

晨鸣纸业:2020年半年度财务报告

公告日期:2020-08-11

晨鸣纸业:2020年半年度财务报告 PDF查看PDF原文
山东晨鸣纸业集团股份有限公司

    2020 年半年度财务报告

          2020 年 08 月

一、審計報告

    半年度報告是否經過審計

    □  是  √  否

    公司半年度財務報告未經審計。
二、財務報表

    財務附註中報表的單位為:人民幣元

    1、 合併資產負債表

          編製單位:山東晨鳴紙業集團股份有限公司

          2020年6月30日

                                                                                                      單位:元
          項目                                                          2020年6月30日      2019年12月31日

          流動資產:

          貨幣資金                                                    19,301,761,154.66    19,306,529,473.33
          應收賬款                                                    2,297,695,446.74    2,525,083,311.03
          應收款項融資                                                1,418,702,732.26      442,915,861.70
          預付款項                                                      731,403,235.76      603,573,549.08
          其他應收款                                                  3,129,061,804.47    2,216,654,598.66
          應收股利                                                        13,000,000.00        13,000,000.00
          存貨                                                        5,701,570,848.39    4,774,430,110.81
          一年內到期的非流動資產                                      6,010,580,174.26    6,974,539,613.30
          其他流動資產                                                8,558,407,649.13    8,108,707,394.70

          流動資產合計                                                47,149,183,045.67    44,952,433,912.61

          長期應收款                                                    763,545,520.11    1,200,575,810.95
          長期股權投資                                                3,767,254,464.70    3,606,339,023.74
          其他非流動金融資產                                            147,445,653.55      147,445,653.55
          投資性房地產                                                5,198,377,514.70    5,082,362,293.11
          固定資產                                                    38,215,983,514.51    34,439,935,032.69
          在建工程                                                      598,051,166.87    5,476,122,928.95
          使用權資產                                                    149,450,409.35      152,141,882.05
          無形資產                                                    1,659,117,513.78    1,781,061,904.51
          商譽                                                            5,969,626.57        5,969,626.57
          長期待攤費用                                                    50,949,493.93        48,203,408.71
          遞延所得稅資產                                                960,555,695.05      892,442,631.04
          其他非流動資產                                                368,196,053.27      173,875,826.67

          非流動資產合計                                              51,884,896,626.39    53,006,476,022.54

          資產總計                                                    99,034,079,672.06    97,958,909,935.15

                                                                                              山東晨鳴紙業集團股份有限公司    1
二、財務報表(續)

    1、 合併資產負債表(續)

          2020年6月30日(續)

          項目                                                          2020年6月30日      2019年12月31日

          短期借款                                                    38,554,311,235.00    36,883,156,014.19
          衍生金融負債

          應付票據                                                    2,747,606,761.17    1,515,048,206.00
          應付賬款                                                    4,244,906,425.30    4,351,087,581.98
          合同負債                                                    1,230,606,297.46      968,082,063.13
          應付職工薪酬                                                  231,418,118.45      190,229,883.52
          應交稅費                                                      383,277,519.38      311,554,116.73
          其他應付款                                                  2,453,998,030.51    2,594,249,626.54
            其中:應付利息                                              149,518,233.84      208,189,699.15
                  應付股利                                              610,109,667.16

          一年內到期的非流動負債                                      6,936,859,454.99    5,662,958,920.03
          其他流動負債                                                  150,686,164.01      222,402,500.00

          流動負債合計                                                56,933,670,006.27    52,698,768,912.12

          長期借款                                                    7,009,361,701.92    9,140,339,693.56
          應付債券                                                    1,628,134,192.59    1,258,270,909.49
          租賃負債                                                        60,271,769.90        59,697,128.65
          長期應付款                                                  2,748,780,858.47    3,321,535,538.94
          預計負債                                                      325,259,082.28      325,259,082.28
          遞延收益                                                    1,692,501,835.30    1,771,0
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