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首页 公告 百川股份:2022年半年度财务报告

百川股份:2022年半年度财务报告

公告日期:2022-08-30

百川股份:2022年半年度财务报告 PDF查看PDF原文
江苏百川高科新材料股份有限公司

      2022 年半年度财务报告

          2022 年 08 月


                  合并资产负债表

编制单位:江苏百川高科新材料股份有限公司                                              金额单位:人民币元

      资      产          2022/6/30        2021/12/31          负债及所有者权益          2022/6/30        2021/12/31

 流动资产:                                                  流动 负债:

  货币资金                1,271,601,063.68    866,289,179.38    短期借款                  2,456,617,090.96    1,640,382,913.49

  交易性金融资产                      -                -    交易性金融负债                        -                -

  衍生金融资产                        -                -    衍生金融负债                          -                -

  应收票据                            -                -    应付票据                    870,584,671.88    735,351,588.71

  应收账款                  406,863,612.75    490,257,768.05    应付账款                    997,702,713.71    678,391,396.33

  应收款项融资              82,360,937.47    107,585,525.50    预收款项                              -                -

  预付款项                  135,471,234.26    135,623,409.53    合同负债                    53,953,350.03      44,655,408.53

  其他应收款                  1,223,791.03        666,083.64    应付职工薪酬                18,718,172.93      28,841,685.17

  存货                    1,216,633,841.24    727,492,807.23    应交税费                    16,849,387.16      21,942,020.74

  合同资产                            -                -    其他应付款                    5,941,900.94      5,746,262.81

  持有待售资产                        -                -    持有待售负债                          -                -

  一年内到期的非流动资产                -                -    一年内到期的非流动负债      202,050,000.00    106,177,507.71

  其他流动资产              34,632,166.18    153,696,915.28    其他流动负债                  6,564,570.76      4,304,278.08

    流动 资产合计          3,148,786,646.61  2,481,611,688.61      流动负债合计            4,628,981,858.37  3,265,793,061.57

 非流动资产:                          -                -  非流 动负债:                            -                -

  可供出售金融资产                    -                -    长期借款                  1,172,550,000.00    910,500,000.00

  持有至到期投资                      -                -    应付债券                              -    138,894,618.78

  长期应收款                          -                -      其中:优先股

  长期股权投资              21,453,472.39      21,606,579.64            永续债

  投资性房地产                        -                -    长期应付款                  586,842,059.18    400,000,000.00

  固定资产                2,588,426,814.16    2,514,278,709.56    长期应付职工薪酬                      -                -

  在建工程                2,468,810,005.30    1,521,454,740.22    预计负债                              -                -

  生产性生物资产                      -                -    递延收益                    43,460,612.88      29,770,233.33

  油气资产                            -                -    递延所得税负债                5,273,046.24      5,537,458.50

  无形资产                  251,311,903.37    255,395,280.03    其他非流动负债                        -                -

  开发支出                            -                -                                            -                -

  商誉                        1,975,281.21      1,975,281.21        非 流动负债合计        1,808,125,718.30  1,484,702,310.61

  长期待摊费用              278,501,646.43                -  负债 合计                    6,437,107,576.67  4,750,495,372.18

  递延所得税资产            31,962,223.18      23,671,918.43  所有 者权益:

  其他非流动资产            354,137,805.01    377,302,920.99    实收资本(或股本)            593,165,169.00    565,949,304.00

                                        -                -    其他权益工具                          -      35,400,601.64

                                        -                -      其中:优先股                          -                -

                                        -                -          永续债                          -                -

                                        -                -    资本公积                    818,038,472.21    677,768,793.90

    非流 动资产合计        5,996,579,151.05  4,715,685,430.08    减:库存股                            -                -

                                        -                -    其他综合收益                  -277,700.16        -304,015.43

                                        -                -    专项储备                        26,636.98        110,974.60

                                        -                -    盈余公积                    71,176,429.90      71,176,429.90

                                        -                -    一般风险准备                          -                -

                                        -                -    未分配利润                  634,548,459.04    556,385,431.55

                                        -                -  归属于母公司所有者权益合计  2,116,677,466.97  1,906,487,520.16

                                        -                -    少数股东权益                591,580,754.02    540,314,226.35

                            
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