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江铃汽车:2024年半年度财务报告

公告日期:2024-08-30

江铃汽车:2024年半年度财务报告 PDF查看PDF原文
江铃汽车股份有限公司
2024 年上半年财务报告


      江铃汽车股份有限公司

      2024 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                          2024 年 6 月 30 日  2023 年 12 月 31 日    2024 年 6 月 30 日    2023 年 12 月 31 日
                                          合并*              合并              公司*              公司

流动资产

货币资金                四(1)          11,043,905,115      11,830,560,675        8,762,470,742        8,697,182,460

交易性金融资产          四(2)              200,583,452        200,604,877                  -                  -

衍生金融资产            四(3)                4,510,945                  -          4,510,945                  -

应收票据                四(4)                      -          14,621,337        500,000,000        700,000,000

应收账款            四(5)、十三(1)        4,711,811,192        4,401,826,022        5,865,100,512        4,594,376,160

应收款项融资            四(6)              274,777,232        123,170,062          12,598,753          17,979,578

预付款项                四(7)              115,585,832        204,358,759        115,585,832        204,358,759

其他应收款          四(8)、十三(2)          90,616,478          75,319,848          90,027,657          71,813,906

存货                    四(9)            2,118,012,490        1,560,259,511        2,110,559,732        1,558,685,526

一年内到期的非流

动资产                  四(11)              16,828,704          15,749,806          14,828,932          14,495,736

其他流动资产            四(10)            1,307,258,115        951,659,556        1,008,289,892        731,819,005

流动资产合计                            19,883,889,555      19,378,130,453      18,483,972,997      16,590,711,130

非流动资产

长期应收款              四(12)              17,082,583          22,775,696          9,224,157          16,699,348

长期股权投资        四(13)、十三(3)        227,134,693        233,798,348        779,788,623        786,452,278

固定资产                四(14)            5,469,283,281        5,389,645,152        5,145,233,915        5,176,956,698

在建工程                四(15)            586,821,753        464,431,412        529,955,912        438,083,465

使用权资产              四(16)            190,820,207        194,836,028        178,136,399        183,725,741

无形资产                四(17)            1,736,954,077        1,691,021,121        1,518,077,008        1,469,907,538

开发支出                四(18)            224,666,128        283,738,155        224,666,128        283,738,155

商誉                    四(21)                      -                  -                  -                  -

递延所得税资产          四(19)            1,528,691,458        1,472,003,554          30,100,335        185,190,368

其他非流动资产          四(20)              9,334,153          10,807,967          9,334,153          10,807,967

非流动资产合计                          9,990,788,333        9,763,057,433        8,424,516,630        8,551,561,558

资产总计                                29,874,677,888      29,141,187,886      26,908,489,627      25,142,272,688


    2024 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                2024 年 6 月 30 日  2023 年 12 月 31 日    2024 年 6 月 30 日    2023 年 12 月 31 日
                                        合并*              合并              公司*              公司

流动负债

短期借款                四(22)        500,000,000        1,300,000,000        500,000,000        1,300,000,000

衍生金融负债              四(3)                  -            459,306                  -            459,306

应付账款                四(23)      10,503,654,457        9,476,215,223      10,497,008,493        9,475,904,232

合同负债                四(24)        341,737,019        243,740,992        477,791,775          29,190,915

应付职工薪酬            四(25)        697,285,331        890,051,287        616,877,395        788,409,476

应交税费                四(26)        120,374,397        118,399,765        116,006,960          97,718,547

其他应付款              四(27)        6,461,271,467        5,944,976,093        2,941,278,412        2,377,082,577

一年内到期的非流动负债  四(28)        102,500,086          93,383,898          94,089,564          86,713,258

其他流动负债            四(29)        391,701,548        373,948,630          91,638,568          36,085,601

流动负债合计                          19,118,524,305      18,441,175,194      15,334,691,167      14,191,563,912

非流动负债

长期借款                四(30)          1,166,732          1,391,414          1,166,732          1,391,414

租赁负债                四(31)          90,195,237        138,005,943          86,063,597        134,081,724

预计负债                四(32)        332,686,679        315,700,263          1,234,439                  -

递延收益                四(33)          65,025,145          67,601,361          65,025,145          67,601,361

长期应付职工薪酬        四(34)          50,956,050          52,891,000          50,627,050          52,562,000

递延所得税负债          四(19)          18,971,266          19,256,890                  -                  -

其他非流动负债
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