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ST易购:2024年半年度财务报告

公告日期:2024-08-31

ST易购:2024年半年度财务报告 PDF查看PDF原文
苏宁易购集团股份有限公司

  2024 年半年度财务报告

    (未经审计)

      2024 年 8 月


2024 年 6 月 30 日合并及公司资产负债表

                                                      2024 年        2023 年        2024 年        2023 年
                                                    6 月 30 日    12 月 31 日      6 月 30 日    12 月 31 日
            资    产                附注              合并          合并          公司          公司

流动资产

  货币资金                          四(1)        13,860,675    13,232,883    10,591,150      9,707,650

  交易性金融资产                    四(2)        15,514,647    15,586,491      2,762,886      2,755,285

  应收票据                      四(3)、十七(1)          4,189          3,690          2,375          2,790

  应收账款                      四(4)、十七(2)      2,536,798      2,482,569    23,248,847    25,451,624

  应收款项融资                      四(5)              184          1,876            184              -

  预付款项                          四(6)          8,626,882      8,802,087    13,692,813    14,728,468

  其他应收款                    四(7)、十七(3)      3,161,042      2,664,559    14,767,691    16,387,045

    其中:应收股利                                  316,010        224,432        90,186        134,489

  存货                              四(8)          7,376,568      6,705,222      6,448,452      5,625,570

  合同资产                                              547            708              -              -

  其他流动资产                      四(9)          2,104,110      2,313,807        533,143        519,922

  一年内到期的非流动资产            四(10)            82,545        74,966              -              -

流动资产合计                                      53,268,187    51,868,858    72,047,541    75,178,354

非流动资产

  长期应收款                        四(11)          625,067        712,676        928,950        948,637

  长期股权投资                  四(14)、十七(4)    13,475,510    13,447,906    42,636,623    42,600,937

  其他权益工具投资                  四(12)        2,634,592      2,564,278      2,634,592      2,564,278

  其他非流动金融资产                四(13)          671,421        672,125        165,470        150,307

  投资性房地产                      四(15)        7,543,766      7,469,554        734,335        834,619

  固定资产                          四(16)        10,220,838      9,662,646      1,503,812      1,507,051

  在建工程                          四(17)        2,589,007      3,603,700              -              2

  使用权资产                        四(18)        9,777,014      9,602,706              -              -

  无形资产                          四(19)        6,875,725      7,141,022        267,834        281,518

  商誉                              四(21)        1,440,760      1,711,430              -              -

  长期待摊费用                      四(22)          179,873        159,263            564            924

  递延所得税资产                    四(24)        12,945,633    12,776,200      2,345,021      2,394,089

  其他非流动资产                    四(23)          282,940        355,919          1,000              -

非流动资产合计                                    69,262,146    69,879,425    51,218,201    51,282,362

资产总计                                        122,530,333    121,748,283    123,265,742    126,460,716


2024 年 6 月 30 日合并及公司资产负债表(续)

                                                      2024 年        2023 年        2024 年        2023 年
                                                    6 月 30 日    12 月 31 日      6 月 30 日    12 月 31 日
      负 债 及 股 东 权 益            附注              合并          合并          公司          公司

流动负债

  短期借款                          四(26)        28,050,556    28,534,843    38,550,671    38,818,248

  应付票据                          四(27)        5,484,653      5,078,493      4,232,328      3,340,441

  应付账款                          四(28)        15,526,233    16,701,584    11,532,701    11,050,965

  预收款项                          四(29)          282,365        310,853        11,318        17,850

  合同负债                          四(30)        7,123,710      6,784,302    16,762,090    20,015,304

  应付职工薪酬                      四(31)          710,060        957,331        67,405        86,863

  应交税费                          四(32)        1,761,801      1,681,371        185,391        121,690

  其他应付款                        四(33)        22,794,439    21,281,566    11,487,113    12,756,482

    其中:应付利息                                          -              -        42,657        31,113

          应付股利                                      278            278              -              -

  一年内到期的非流动负债            四(34)        12,657,943    12,570,976      2,378,907      2,550,323

  其他流动负债                      四(35)        1,079,221        981,085        254,343        239,154

流动负债合计                                      95,470,981    94,882,404    85,462,267    88,997,320

非流动负债

  长期借款                          四(36)        1,670,715      1,867,114              -              -

  应付债券                                                  -              -              -              -

  租赁负债
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