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首页 公告 力合科创:半年报财务报表

力合科创:半年报财务报表

公告日期:2024-08-28

力合科创:半年报财务报表 PDF查看PDF原文

                    合并资产负债表

                                    2024年6月30日

编制单位:深圳市力合科创股份有限公司              (除特别注明外,金额单位均为人民币元)
              资 产                        2024年6月30日            2023年12月31日

流动资产:

 货币资金                                        1,244,077,607.00            1,447,479,802.34
 交易性金融资产                                    506,116,608.12              326,424,163.34
 衍生金融资产

 应收票据                                          3,370,086.52                4,139,384.58
 应收账款                                          949,618,621.15              985,436,201.83
 应收款项融资                                        441,351.76                1,939,728.75
 预付款项                                          20,885,200.02              17,523,446.82
 其他应收款                                        52,224,577.04              49,212,911.86
 存货                                            4,358,689,375.76            4,035,212,398.89
 合同资产                                            641,773.92                1,553,720.69
 一年内到期的非流动资产                                    -                        -
 其他流动资产                                      142,645,046.26              101,419,412.38
流动资产合计                                    7,278,710,247.55            6,970,341,171.48
非流动资产:

 债权投资                                                  -                        -
 其他债权投资                                              -

 长期应收款                                                -                        -
 长期股权投资                                    2,162,680,588.83            2,095,495,694.66
 其他权益工具投资                                          -                        -
 其他非流动金融资产                              2,119,184,295.39            2,070,692,730.72
 投资性房地产                                    1,446,123,667.47            1,434,555,386.64
 固定资产                                        1,603,612,576.07            1,671,543,075.96
 在建工程                                          275,242,912.70              233,166,755.98
 使用权资产                                        273,260,564.62              308,665,901.65
 油气资产

 无形资产                                          302,493,860.47              310,221,462.89
 开发支出                                                  -                        -
 商誉                                              128,427,017.53              128,427,017.53
 长期待摊费用                                      74,903,997.87              83,461,962.94
 递延所得税资产                                    277,164,653.02              273,135,503.10
 其他非流动资产                                    34,541,933.51              24,969,424.80
非流动资产合计                                  8,697,636,067.48            8,634,334,916.87
资产总计                                        15,976,346,315.03            15,604,676,088.35

(后附财务报表附注为合并财务报表的组成部分)


                合并资产负债表(续)

                                    2024年6月30日

编制单位:深圳市力合科创股份有限公司              (除特别注明外,金额单位均为人民币元)
          负债和股东权益                    2024年6月30日            2023年12月31日

流动负债:

 短期借款                                          259,807,000.00              220,900,617.00
 交易性金融负债                                            -                        -
 衍生金融负债                                              -                        -
 应付票据                                          7,887,521.27                9,013,985.27
 应付账款                                          790,634,788.01              805,001,772.25
 预收款项                                          4,754,883.61                3,737,204.73
 合同负债                                          44,961,974.00              61,724,230.47
 应付职工薪酬                                      90,119,927.28              149,212,108.17
 应交税费                                          218,290,387.84              262,952,488.54
 其他应付款                                        416,687,897.04              380,419,810.36
 持有待售负债                                              -

 一年内到期的非流动负债                            304,018,882.66              536,780,804.92
 其他流动负债                                      11,808,891.10                9,755,103.75
流动负债合计                                    2,148,972,152.81            2,439,498,125.46
非流动负债:

 长期借款                                        3,204,159,690.52            2,376,257,963.76
 应付债券                                        1,308,253,753.44            1,333,576,301.39
 其中:优先股                                              -                        -
 其中:永续债                                              -                        -
 租赁负债                                          235,876,208.05              266,226,650.75
 长期应付款                                        408,142,218.54              437,082,043.30
 预计负债                                          2,944,044.26                1,388,287.60
 递延收益                                          71,375,954.05              88,
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