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首页 公告 安道麦A:2022年年度财务报告

安道麦A:2022年年度财务报告

公告日期:2023-03-21

安道麦A:2022年年度财务报告 PDF查看PDF原文
安道麦股份有限公司
财务报表
2022 年 12 月 31日止年度

财务报表
二零二二年十二月三十一日止年度

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 - 92
2022 年 12 月 31日

                                        合并资产负债表

                                                                                    人民币千元

          项目            附注      2022年        2021年                项目              附注      2022年      2021年

                                    12月 31日    12月 31日                                            12月 31日    12月 31日

 流动资产:                                                    流动负债:

  货币资金                (五)1        4,290,961      5,818,835    短期借款                    (五)21      3,342,921      874,755

  交易性金融资产          (五)2          1,685          1,479    衍生金融负债                (五)22        545,516      176,206

  衍生金融资产            (五)3          233,809        243,316    应付票据                    (五)23      1,114,775      493,376

  应收票据                (五)4          112,297        81,992    应付账款                    (五)24      7,527,269      6,294,163

  应收账款                (五)5        9,018,375      8,362,493    合同负债                    (五)25      1,776,573      1,381,311

  应收款项融资            (五)6          63,639        120,157    应付职工薪酬                (五)26      1,370,786      1,247,979

  预付款项                (五)7          341,102        379,788    应交税费                    (五)27        459,574      368,682

  其他应收款              (五)8        1,021,824        691,939    其他应付款                  (五)28      1,611,282      1,342,188

  存货                    (五)9      16,927,241      11,750,162    一年内到期的非流动负债      (五)29      2,262,131      1,795,754

  其他流动资产          (五)10        1,129,688        938,453    其他流动负债                (五)30        703,794      412,909

 流动资产合计                        33,140,621      28,388,614  流动负债合计                            20,714,621    14,387,323

 非流动资产:                                                  非流动负债:

  长期应收款            (五)11          82,510        56,234    长期借款                    (五)31      3,662,870      3,498,912

  长期股权投资          (五)12          26,368        15,335    应付债券                    (五)32      7,353,511      7,797,131

  其他权益工具投资      (五)13        158,341        152,118    租赁负债                    (五)33        431,076      362,086

  投资性房地产                            3,168          3,716    长期应付款                                107,686        95,699

  固定资产              (五)14        8,952,184      8,048,389    长期应付职工薪酬            (五)34        792,153      792,358

  在建工程              (五)15        2,961,401      2,143,400    预计负债                    (五)35        222,181      186,430

  使用权资产            (五)16        555,889        463,915    递延所得税负债              (五)19        315,861      380,138

  无形资产              (五)17        5,342,754      5,326,288    其他非流动负债              (五)36      1,255,875      1,660,148

  商誉                  (五)18        4,805,157      4,409,599  非流动负债 合计                          14,141,213    14,772,902

  递延所得税资产        (五)19        1,347,263        723,075  负债合计                                34,855,834    29,160,225

  其他非流动资产        (五)20        604,833        504,625  所有者权益:

 非流动资产 合计                      24,839,868      21,846,694    股本                        (五)37      2,329,812      2,329,812

 资产总计                            57,980,489      50,235,308    资本公积                    (五)38    12,986,333    12,977,171

                                                                  减:库存股                                    -            -

                                                                  其他综合收益                (五)39      1,080,590      (432,384)

                                                                  专项储备                                  15,818        19,857

                                                                  盈余公积                    (五)40        242,498      240,162

                                                                  未分配利润                  (五)41      6,469,604      5,940,465

                                                                归属于母公 司所有者权 益合计              23,124,655    21,075,083

                                                                  少数股东权益                                  -            -

                                                                所有者权益 合计                          23,124,655    21,075,083

                                                                负债及所有 者权益总计                    57,980,489    50,235,308

附注为财务报表的组成部分
第 1 页至 92 页的财务报表由下列负责人签署:

      法定代表人                  主管会计
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