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柳工:2023年半年度财务报告

公告日期:2023-08-31

柳工:2023年半年度财务报告 PDF查看PDF原文

                  广西柳工机械股份有限公司

                    2023 年半年度财务报告

                          第一节 审计报告

  半年度报告是否经过审计

      □是 ☑否

      公司半年度财务报告未经审计。

                          第二节 财务报表

  一、资产负债表

  编制单位:广西柳工机械股份有限公司                2023 年 06 月 30 日        单位:元

                                          2023 年 1-6 月                              2022 年 1-6 月

          项  目

                                    合并              公司                合并                公司

流动资产:

    货币资金                    9,038,396,887.21      5,248,935,566.38        7,234,700,352.07    3,675,981,450.73
    交易性金融资产                25,000,000.00                  -          30,025,890.41                  -
    衍生金融资产                  54,468,959.28        39,322,851.64                      -                  -
    应收票据                      190,133,541.11        1,136,006.90          254,598,412.76        6,778,389.39
    应收账款                    8,979,874,607.11      4,848,512,803.73        7,571,277,787.92    3,790,385,948.97
    应收款项融资                  133,605,467.08        29,291,310.21          234,260,986.96      27,492,966.10
    预付款项                      454,394,436.63        77,563,262.42          382,454,478.24      39,326,811.88
    其他应收款                  1,160,053,447.46      2,466,520,708.12        1,089,502,479.86    2,091,495,665.18
    其中:应收利息                          -                  -                      -                  -
          应收股利                          -                  -                      -                  -
    存货                        8,252,388,748.20      1,437,521,721.59        7,987,972,482.46    1,641,681,762.87
    合同资产                      107,322,352.81                  -          90,270,270.90                  -
    持有待售资产                            -                  -                      -                  -
    一年内到期的非流动资产      3,917,914,624.67      165,649,051.35        4,168,654,649.11      160,019,573.92
    其他流动资产                  550,242,810.02        65,706,545.02          458,336,902.80      105,267,067.10
流动资产合计                    32,863,795,881.58    14,380,159,827.36      29,502,054,693.49    11,538,429,636.14
非流动资产:

    债权投资                                -                  -                      -                  -


    其他债权投资                            -                  -                      -                  -
    长期应收款                  2,531,519,081.07        40,574,866.04        2,902,275,981.47      33,951,106.17
    设定受益计划净资产

    长期股权投资                  724,359,826.40    10,461,770,533.84          688,048,283.40    10,246,706,741.71
    其他权益工具投资              315,985,875.40                  -          351,816,684.80                  -
    其他非流动金融资产                      -                  -                      -                  -
    投资性房地产                  235,456,196.01      156,673,945.11          235,201,877.60      159,729,880.68
    固定资产                    5,190,599,553.23      666,875,089.90        4,901,819,322.80      600,983,851.76
    在建工程                    1,000,778,610.33      414,555,196.00          810,275,896.67      441,687,168.16
    生产性生物资产

    油气资产

    使用权资产                    98,349,063.10                  -          108,940,047.39                  -
    无形资产                    1,489,261,888.57      233,524,862.37        1,514,814,872.34      246,357,058.38
    开发支出                      10,310,443.84                  -          39,806,257.13                  -
    商誉                          166,631,074.09                  -          166,631,074.09                  -
    长期待摊费用                  14,730,817.09        10,736,154.08          20,759,482.70      14,048,263.05
    递延所得税资产                936,675,616.69      189,790,368.62          912,501,840.07      185,843,343.69
    其他非流动资产                148,820,066.66        19,126,996.15          105,904,474.24                  -
非流动资产合计                  12,863,478,112.48    12,193,628,012.11      12,758,796,094.70    11,929,307,413.60
资产总计                        45,727,273,994.06    26,573,787,839.47      42,260,850,788.19    23,467,737,049.74

    法定代表人:曾光安      主管会计工作负责人:刘学斌        会计机构负责人:车伟红


                              二、资产负债表(续)

  编制单位:广西柳工机械股份有限公司            2023 年 06 月 30 日            单位:元

                                          2023 年 1-6 月                              2022 年 1-6 月

          项  目

                                    合并              公司                合并              公司

流动负债:

  短期借款                      6,796,679,848.46      1,415,817,455.85      4,889,064,143.42        463,344,678.52
  交易性金融负债                              -                    -                    -                    -
  衍生金融负债                                -                    -                    -                    -
  应付票据                      4,636,177,352.33      2,003,796,945.28      4,169,899,135.56      1,845,091,945.36
  应付账款                      6,152,756,893.02      3,
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