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首页 公告 江铃汽车:半年报财务报表

江铃汽车:半年报财务报表

公告日期:2023-08-30

江铃汽车:半年报财务报表 PDF查看PDF原文
 (除特别注明外,金额单位为人民币元)

        资        产              附注        2023年06月30日    2022年12月31日    2023年06月30日    2022年12月31日
                                                      合并*              合并              公司*              公司

 流动资产

  货币资金                        四(1)          9,875,434,450      8,604,977,725      7,481,796,932      6,910,646,428

  交易性金融资产                  四(2)            100,136,000                  -                  -                  -

  衍生金融资产                    四(3)              7,086,761          2,972,698          7,086,761          2,972,698

  应收票据                        四(4)                174,659        742,752,730        500,174,659      1,099,742,888

  应收账款                    四(5)、十三(1)      4,392,802,999      4,245,541,752      3,868,035,170      2,368,898,327

  应收款项融资                    四(6)            364,021,037        376,662,817        154,798,531        56,868,760

  预付款项                        四(7)            294,535,913        277,743,526        294,535,913        277,278,672

  其他应收款                  四(8)、十三(2)        75,428,532        111,063,372        79,012,999        128,855,851

  存货                            四(9)          1,765,496,170      2,129,040,820      1,765,496,170      2,129,040,820

  一年内到期的非流动资产          四(11)            14,170,026        13,851,634        14,170,026        13,851,634

  其他流动资产                    四(10)          1,232,518,771      1,362,502,624      1,180,999,559      1,310,164,197

 流动资产合计                                    18,121,805,318    17,867,109,698    15,346,106,720    14,298,320,275

 非流动资产

  长期应收款                      四(12)            24,006,049        31,148,044        24,006,049        31,148,044

  长期股权投资                四(13)、十三(3)      244,589,183        248,482,822      1,193,140,173      1,146,033,812

  固定资产                        四(14)          5,507,814,029      5,446,384,369      5,050,472,910      4,961,529,936

  在建工程                        四(15)          612,199,142        718,612,190        579,352,195        688,385,553

  使用权资产                      四(16)          213,592,537        233,622,890        199,060,941        232,666,362

  无形资产                        四(17)          1,516,359,364      1,195,005,752      1,296,700,786        971,966,227

  开发支出                        四(17)          361,194,976        477,233,877        361,194,976        477,233,877

  递延所得税资产                  四(18)          1,286,685,445      1,250,722,193        109,924,902        235,320,874

 非流动资产合计                                  9,766,440,725      9,601,212,137      8,813,852,932      8,744,284,685

 资产总计                                        27,888,246,043    27,468,321,835    24,159,959,652    23,042,604,960

  备注:*为未经审计的财务数据

 (除特别注明外,金额单位为人民币元)

 负  债  及  股  东  权  益        附注        2023年06月30日    2022年12月31日    2023年06月30日    2022年12月31日
                                                      合并*              合并              公司*              公司

  流动负债

    短期借款                        四(20)          1,300,000,000      1,100,000,000        800,000,000      1,100,000,000

    应付账款                        四(21)          8,939,531,087      9,015,978,354      8,938,374,402      9,015,584,820

    合同负债                        四(22)          194,672,088        152,065,025        423,440,567          1,011,195

    应付职工薪酬                    四(23)          967,168,765        915,703,680        873,460,304        824,364,157

    应交税费                        四(24)            94,726,465        193,249,604        93,639,867        110,894,972

    其他应付款                      四(25)          5,903,153,144      5,672,708,511      2,684,104,044      2,418,186,421

    一年内到期的非流动负债          四(26)            78,126,567        72,680,756        71,037,193        71,491,054

    其他流动负债                    四(27)          385,411,966        386,889,542        87,017,709        29,814,619

  流动负债合计                                    17,862,790,082    17,509,275,472    13,971,074,086    13,571,347,238

  非流动负债

    长期借款                        四(28)            11,506,059        20,858,057        11,506,059        20,858,057

    租赁负债                        四(29)          134,278,525        193,090,351        127,154,897        192,887,339

    预计负债                        四(30)          246,591,541        250,762,589                  -                  -

    递延收益                        四(31)            64,781,931        60,849,643        64,781,931        60,849,643

    长期应付职工薪酬                四(32)            49,230,343        51,293,000        49,004,343        51,067,000

    递延所得税负债                  四(18)            22,964,666        23,305,359                  -                  -

    其他非流动负债                  四(33)          116,447,990        118,240,580                  -                  -

  非流动负债合计                                    645,8
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