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赛象科技:2022年半年度财务报告

公告日期:2022-08-30

赛象科技:2022年半年度财务报告 PDF查看PDF原文
天津赛象科技股份有限公司

  2022 年半年度财务报表

      2022 年 08 月


                                    合并资产负债表

编制单位:天津赛象科技股份有限公司          2022 年 06 月 30 日                                  单位:元

              项目                        2022 年 6 月 30 日                    2022 年 1 月 1 日

 流动资产:

  货币资金                                            289,006,261.37                    271,599,516.37

  结算备付金

  拆出资金

  交易性金融资产                                      297,201,355.68                    161,052,700.05

  衍生金融资产                                        20,271,397.26

  应收票据                                            113,333,267.05                    194,422,137.40

  应收账款                                            206,200,743.39                    271,612,083.59

  应收款项融资

  预付款项                                            26,631,456.88                      17,324,989.11

  应收保费

  应收分保账款

  应收分保合同准备金

  其他应收款                                            4,779,371.26                      5,685,229.21

    其中:应收利息                                                                                  0.00

          应收股利                                                                                  0.00

  买入返售金融资产

  存货                                                377,640,359.37                    272,981,035.96

  合同资产                                            56,550,061.56                      64,432,139.28

  持有待售资产

  一年内到期的非流动资产

  其他流动资产                                          2,276,190.87                      9,086,099.88

 流动资产合计                                        1,393,890,464.69                  1,268,195,930.85

 非流动资产:

  发放贷款和垫款

  债权投资

  其他债权投资

  长期应收款                                                    0.00                      32,641,995.60

  长期股权投资

  其他权益工具投资

  其他非流动金融资产                                  26,247,778.88                      26,247,778.88

  投资性房地产

  固定资产                                            202,534,101.68                    207,956,617.64

  在建工程                                                      0.00                        764,601.77

  生产性生物资产

  油气资产

  使用权资产                                            1,568,001.23                      1,825,876.05

  无形资产                                            28,580,535.56                      28,930,788.04

  开发支出


                                  合并资产负债表(续)

编制单位:天津赛象科技股份有限公司          2022 年 06 月 30 日                                  单位:元

              项目                        2022 年 6 月 30 日                    2022 年 1 月 1 日

  商誉

  长期待摊费用                                            183,316.22                        240,227.89

  递延所得税资产                                      22,518,618.83                      20,931,380.86

  其他非流动资产                                        2,670,000.00                      3,472,177.00

 非流动资产合计                                        284,302,352.40                    323,011,443.73

 资产总计                                            1,678,192,817.09                  1,591,207,374.58

 流动负债:

  短期借款                                              3,000,000.00

  向中央银行借款

  拆入资金

  交易性金融负债

  衍生金融负债

  应付票据                                            112,483,188.41                    105,631,304.26

  应付账款                                            144,335,307.18                    163,027,456.00

  预收款项

  合同负债                                            176,635,065.64                      73,566,042.55

  卖出回购金融资产款

  吸收存款及同业存放

  代理买卖证券款

  代理承销证券款

  应付职工薪酬                                                  0.00                      15,622,357.61

  应交税费                                              2,105,719.91                      3,078,469.69

  其他应付款                                            8,745,548.06                      17,477,385.46

    其中:应付利息

          应付股利

  应付手续费及佣金

  应付分保账款

  持有待售负债

  一年内到期的非流动负债                                  356,531.92                        508,040.55

  其他流动负债                                          3,178,249.69                      5,136,918.06

 流动负债合计                                          450,839,610.81                    384,047,974.18

 非流动负债:

  保险合同准备金

  长期借款

  应付债券

    其中:优先股

          永续债

  租赁负债                                              1,180,955.91                      1,296,792.78

  长期应付款


                                  合并资产负债表(续)

编制单位:天津赛象科技股份有限公司          2022 年 06 月 30 日                                  单位:元

              项目                        2022 年 6 月 30 日                    2022 年 1 月 1 日

  长期应付职工薪酬

  预计负债

  递延收益                                              2,200,000.00                      2,200,000.00

  递延所得税负债                                          934,376.58                        898,440.82

  其他非流动负债

 非流动负债合计                                          4,315,332.49                      4,395,233.60

 负债合计                                              455,154,943.30                    388,443,207.78

 所有者权益:

  股本     
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