联系客服

002252 深市 上海莱士


首页 公告 上海莱士:半年报财务报表

上海莱士:半年报财务报表

公告日期:2022-08-30

上海莱士:半年报财务报表 PDF查看PDF原文

                                                      资产负债表

                                                                                            2022年6月30日

                                                                                                                                                                                                  单位:人民币元

        项  目                          期末数                                  期初数                        项  目                          期末数                                  期初数

                                合并              母公司              合并              母公司                                        合并              母公司              合并              母公司

流动资产:                                                                                                流动负债:

  货币资金                    3,311,767,512.46      1,832,590,100.91      2,745,584,584.53      1,540,642,501.22  短期借款                                -                    -                    -                    -
  交易性金融资产              214,589,496.00        214,589,496.00        219,384,792.00        219,384,792.00  以公允价值计量且其变                    -                    -                    -                    -
                                                                                                          动计入当期损益的金融负

  应收票据                                -                    -                    -                    -    应付票据                                -                    -                    -                    -
  应收账款                      736,781,750.10        210,724,927.86        467,915,730.12        168,875,526.28  应付账款                      966,377,233.16        21,592,230.59        966,051,570.72        31,766,754.37
  应收款项融资                  238,503,225.41        143,692,781.10        181,606,420.00        116,396,975.99  预收款项                                -                    -                    -                    -
  预付款项                      49,933,088.97        196,905,100.35        54,832,107.02        181,029,259.02  合同负债                      17,974,353.82          3,144,168.57        28,685,732.20          5,580,910.36
  应收利息                                -                    -                    -                    -    应付职工薪酬                  68,359,651.98        43,808,376.24        107,124,025.46        76,580,523.32
  应收股利                                -                    -                    -                    -    应交税费                      122,252,854.50        58,480,338.94        73,344,232.86        24,249,873.56
  其他应收款                      8,869,579.01        354,801,310.44          6,236,327.77        257,333,172.98  其他应付款                    337,411,564.20        664,226,084.35        127,328,021.16        478,562,411.50
  存货                        3,040,757,938.23        911,401,402.25      3,173,222,711.94      1,002,357,889.89    其中: 应付利息                      -                    -                    -                    -
  划分为持有待售的资产                    -                    -                    -                    -              应付股利            188,742,061.40        188,742,061.40                  -                    -
  一年内到期的非流动资产      403,335,517.02                  -                    -                    -    一年内到期的非流动负债        2,701,767.65            484,496.26          4,092,163.11            938,866.62
  其他流动资产                    1,140,444.54                  -          23,468,242.38                  -    其他流动负债                            -                    -                    -                    -
      流动资产合计          8,005,678,551.74      3,864,705,118.91      6,872,250,915.76      3,486,020,117.38        流动负债合计          1,515,077,425.31        791,735,694.95      1,306,625,745.51        617,679,339.73
非流动资产:                                                                                              非流动负债:

  其他非流动金融资产            3,000,000.00          3,000,000.00          3,000,000.00          3,000,000.00  长期借款                                -                    -                    -                    -
  持有至到期投资                          -                    -                    -                    -    应付债券                                -                    -                    -                    -
  长期应收款                              -                    -                    -                    -    长期应付款                              -                    -                    -                    -
  长期股权投资              14,174,385,810.72    21,154,032,447.83    13,281,900,328.50    20,254,546,965.61  租赁负债                        2,904,284.98                  -            4,155,405.73            89,182.68
  投资性房地产                    6,262,981.69                  -            6,240,868.11                  -    预计负债                                -                    -                    -                    -
  固定
[点击查看PDF原文]