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安道麦A:财务报表

公告日期:2021-08-26

安道麦A:财务报表 PDF查看PDF原文
安道麦股份有限公司
财务报表
2021 年 6月 30 日止六个月期间

财务报表
二零二一年六月三十日止六个月期间

内容                                                                          页码
合并及母公司资产负债表                                                        1 - 2
合并及母公司利润表                                                            3 - 4
合并及母公司现金流量表                                                        5 - 6
合并及母公司所有者权益变动表                                                  7 - 8
财务报表附注                                                                9 – 102
2021 年 6月 30 日

                                        合并资产负债表

                                                                                    人民币千元

        项目            附注      2021 年        2020 年                项目              附注      2021 年      2020 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      4,633,440      3,863,886    短期借款                    (五)21    1,209,421    1,205,498

  交易性金融资产        (五)2          2,494          1,253    衍生金融 负债                (五)22      799,715    1,463,614

  衍生金融资产          (五)3        376,746      1,560,788    应付票据                    (五)23      198,428      369,791

  应收票据              (五)4        108,078        102,082    应付账款                    (五)24    5,184,480    4,557,006

  应收账款              (五)5      9,295,611      8,766,869    合同负债                    (五)25    1,260,942    1,092,253

  应收款项融资          (五)6          99,066        109,483    应付职工 薪酬                (五)26      916,236    1,208,834

  预付款项              (五)7        363,364        406,008    应交税费                    (五)27      426,631      358,988

  其他应收款            (五)8      1,045,685      1,310,029    其他应付 款                  (五)28    1,562,623    1,075,721

  存货                  (五)9      11,280,638    10,338,273    一年内到 期的非流动负 债    (五)29    1,744,770    1,272,581

  其他流动资产          (五)10        940,835        769,641    其他流动 负债                (五)30      347,366      315,597

流 动资产合计                        28,145,957    27,228,312  流动负 债合计                            13,650,612    12,919,883

非 流动资产:                                                  非流动 负债:

  长期应收款            (五)11        98,400        95,329    长期借款                    (五)31    3,271,544    2,387,628

  长期股权 投资          (五)12        15,847        14,081    应付债券                    (五)32    7,995,724    8,078,113

  其他权益工具投资      (五)13        151,537        152,200    租赁负债                    (五)33      394,531      379,190

  投资性房地产                          3,186          4,364    长期应付 款                                99,815        27,327

  固定资产              (五)14      7,695,471      6,576,116    长期应付 职工薪酬          (五)34      748,266      645,755

  在建工程              (五)15      1,812,323      1,405,328    预计负债                    (五)35      178,699      163,251

  使用权资产            (五)16        505,895        483,618    递延所得 税负债              (五)19      362,973      331,942

  无形资产              (五)17      5,150,421      5,226,455    其他非流 动负债              (五)36    1,315,490      434,030

  商誉                  (五)18      4,600,258      4,584,226  非流动 负债合计                          14,367,042    12,447,236

  递延所得税资产        (五)19        939,867        773,673  负债合 计                                28,017,654    25,367,119

  其他非流动资产        (五)20        330,844        257,332  所有者 权益:

非 流动资产合 计                      21,304,049    19,572,722    股本                        (五)37    2,329,812    2,344,121

资 产总计                            49,450,006    46,801,034    资本公积                    (五)38    12,882,324    13,023,219

                                                                  减:库存 股                                    -      60,357

                                                                  其他综合 收益                (五)39      (194,961)      (72,055)

                                                                  专项储备                                  18,458        15,960

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

                                                                  未分配利 润                  (五)41    6,156,557    5,862,702

                                                                归属于 母公司所有者 权益合计              21,432,352    21,353,752

                                                                  少数股东 权益                                  -      80,163

                                                                所有者 权益合计                          21,432,352    21,433,915

                                                                负债及 所有者权益总 计                    49,450,006    46,801,034

附注为财务报表的组成部分
第 1 页至 102 页的财务报表由下列负责人签署:

      法定代表人                    
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