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江铃汽车:2022年半年度财务报告

公告日期:2022-08-30

江铃汽车:2022年半年度财务报告 PDF查看PDF原文
江铃汽车股份有限公司
2022 年上半年财务报表


      江铃汽车股份有限公司

      2022 年 6 月 30 日合并及公司资产负债表                                  金额单位:人民币元

    资    产          附注    2022 年 06 月 30 日  2021 年 12 月 31 日  2022 年 06 月 30 日  2021 年 12 月 31 日
                                      合并*              合并              公司*              公司

流动资产

货币资金              四(1)        7,799,258,684      9,569,051,314      6,223,403,676      7,706,280,711

交易性金融资产        四(2)                    -        100,242,329                  -                  -

应收票据              四(3)          113,987,950        119,783,900      1,400,000,000        300,000,000

应收账款            四(4)、十      4,503,086,630      2,994,798,227      1,801,652,252      1,409,320,240
                      四(1)

应收款项融资          四(5)          286,259,584        201,511,670        11,267,542        13,725,275

预付款项              四(6)          428,129,558        497,302,198        428,129,558        496,546,531

其他应收款          四(7)、十        292,100,216        399,983,736        282,656,320        400,787,837
                      四(2)

存货                  四(8)        1,858,396,510      1,974,728,632      1,858,396,510      1,974,728,632

一年内到期的非流动    四(10)          13,540,397        13,236,153        13,540,397        13,236,153
资产

其他流动资产          四(9)        1,184,665,570        984,174,056      1,184,633,915        881,324,652

流动资产合计                        16,479,425,099    16,854,812,215      13,203,680,170      13,195,950,031

非流动资产

长期应收款            四(11)          38,129,034        44,952,638        38,129,034        44,952,638

长期股权投资          四(12)、        253,099,622        257,251,255      1,150,650,612      1,103,802,245
                      十四(3)

固定资产              四(13)        5,637,147,225      6,029,302,031      5,132,299,354      5,497,170,652

在建工程              四(14)          518,054,501        448,338,672        518,054,501        448,112,420

使用权资产            四(15)          266,522,623        306,225,810        265,156,154        304,449,400

无形资产              四(16)        1,072,766,835      1,073,881,961        846,403,758        844,988,965

开发支出              四(16)          187,167,065        111,004,350        187,167,065        111,004,350

递延所得税资产        四(17)        1,287,963,213      1,233,315,188        254,564,928        285,288,625

其他非流动资产        四(18)          129,021,097                  -        129,021,097                  -

非流动资产合计                      9,389,871,215      9,504,271,905      8,521,446,503      8,639,769,295

资产总计                            25,869,296,314    26,359,084,120      21,725,126,673      21,835,719,326


      江铃汽车股份有限公司

      2022 年 6 月 30 日合并及公司资产负债表(续)                            金额单位:人民币元

    负债及股东权益      附注  2022 年 06 月 30 日  2021 年 12 月 31 日  2022 年 06 月 30 日  2021 年 12 月 31 日
                                      合并*              合并              公司*              公司

流动负债

短期借款                四(20)      1,400,000,000        300,000,000      1,400,000,000        300,000,000

衍生金融负债            四(21)          5,432,067        10,704,619          5,432,067        10,704,619

应付账款                四(22)      7,924,733,465      9,702,584,830      7,924,733,465      9,702,584,830

合同负债                四(23)        140,093,257        272,274,177        119,105,161        67,392,485

应付职工薪酬            四(24)        733,050,932        766,986,525        664,978,606        690,921,936

应交税费                四(25)        137,510,198        287,171,720        92,117,740        111,626,950

其他应付款              四(26)      5,584,079,719      5,253,800,805      2,342,693,694      1,985,838,271

一年内到期的非流动负债  四(27)          73,272,572        78,039,188        72,105,132        76,893,591

其他流动负债            四(28)        412,095,216        420,456,813        45,178,845        35,663,765

流动负债合计                        16,410,267,426      17,092,018,677    12,666,344,710    12,981,626,447

非流动负债

长期借款                四(29)          1,977,707          2,087,537          1,977,707          2,087,537

租赁负债                四(30)        194,073,403        263,409,414        193,269,923        262,016,700

预计负债                四(31)        208,203,479        197,587,164                  -                  -

递延收益                四(32)          61,322,115        49,074,545        61,322,115        49,074,545

长期应付职工薪酬        四(33)          53,747,263        55,684,000        53,433,263        55,370,000

递延所得税负债          四(17)          23,652,989        24,000,545                  -                  -

其他非流动负债          四(34)        119,298,885        119,777,649                  -        108,673,373

非流动负债合计                        662,275,841        711,620,854        310,003,008        477,222,155

负债合计                            17,072,543,267      17,803,639,531    12,976,347,718    13,458,848,602

股东权益

股本                    四(35)        863,214,000        863,214,000        863,214,000        863,214,000

资本公积                四(36)        839,442,490      
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