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安道麦A:半年报财务报表

公告日期:2020-08-21

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安道麦A:半年报财务报表
                                        合并资产负债表

                                                                                      人民币千元

          项目              附注      2020年      2019年              项目              附注    2020年      2019年

                                      6 月 30 日    12月 31 日                                        6 月 30 日    12月 31 日

流动资产:                                                    流动负债:

  货币资金                  (五)1      6,293,175    4,348,588    短期借款                  (五)21    1,893,876    2,009,882

  交易性金融资产            (五)2        12,609      29,510    衍生金融负债              (五)22    1,065,034      691,475

  衍生金融资产              (五)3      1,017,302    490,113    应付票据                  (五)23      255,417      321,674

  应收票据                  (五)4        47,433      26,000    应付账款                  (五)24    4,773,708    4,205,901

  应收账款                  (五)5      8,677,392    8,004,157    合同负债                  (五)25    1,052,333      664,228

  应收款项融资              (五)6        35,552      78,948    应付职工薪酬              (五)26      985,533    1,211,713

  预付款项                  (五)7        351,997    377,808    应交税费                  (五)27      386,070      369,038

  其他应收款                (五)8      1,235,318    1,195,253    其他应付款                (五)28    1,342,465    1,049,594

  存货                      (五)9      10,618,794    9,932,654    一年内到期的非流动负债    (五)29    1,336,375    1,066,243

  其他流动资产              (五)10        611,296    659,195    其他流动负债              (五)30      381,188      355,243

流动资产合计                          28,900,868  25,142,226  流动负债合计                          13,471,999    11,944,991

非流动资产:                                                  非流动负债:

  长期应收款                (五)11        120,550    170,896    长期借款                  (五)31    2,224,678      927,159

  长期股权投资            (五)12        134,420    133,098    应付债券                  (五)32    8,663,773    7,965,942

  其他权益工具投资          (五)13        156,092    155,062    租赁负债                  (五)33      387,635      406,358

  投资性房地产                            3,609      3,771    长期应付款                            26,860      29,021

  固定资产                  (五)14      6,942,743    6,939,610    长期应付职工薪酬          (五)34      676,624      738,854

  在建工程                  (五)15        998,060    788,386    预计负债                  (五)35      162,545      176,822

  使用权资产                (五)16        515,779    536,034    递延所得税负债            (五)19      416,449      323,304

  无形资产                  (五)17      5,543,526    5,835,785    其他非流动负债            (五)36      395,838      404,824

  商誉                      (五)18      4,627,331    4,511,391  非流动负债合计                        12,954,402    10,972,284

  递延所得税资产            (五)19        857,313    826,696  负债合计                              26,426,401    22,917,275

  其他非流动资产          (五)20        295,888    246,183  所有者权益:

非流动资产合计                        20,195,311  20,146,714    股本                      (五)37    2,446,554    2,446,554

资产总计                              49,096,179  45,288,940    资本公积                  (五)38    12,903,168    12,903,168

                                                                其他综合收益              (五)39    1,340,054    1,192,681

                                                                专项储备                              17,205      14,927

                                                                盈余公积                  (五)40      240,162      240,162

                                                                未分配利润                (五)41    5,722,635    5,574,173

                                                              所有者权益合计                        22,669,778    22,371,665

                                                              负债及所有者权益总计                  49,096,179    45,288,940

附注为财务报表的组成部分

      法定代表人                    主管会计工作负责人                  会计机构负责人


                                        公司资产负债表

                                                                                      人民币千元

        项目            附注      2020年    2019年              项目              附注      2020年      2019年

                                  6 月 30 日  12月 31 日                                          6 月 30 日    12月 31 日

流动资产:                                                流动负债:

  货币资金              (十五)1    1,445,904    1,423,051    短期借款                                152,000      150,000

  应收账款              (十五)2      400,029    349,109    应付票据                                  75,360        90,190

  应收款项融资          (十五)3        8,512      11,722    应付账款                                233,960      124,228

  预付款项                            11,641      6,055    合同负债                                  4,007        6,748

  其他应收款            (十五)4      45,492      14,051    应付职工薪酬                            147,645  
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