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首页 公告 欧菲光:半年报财务报表

欧菲光:半年报财务报表

公告日期:2021-08-31

欧菲光:半年报财务报表 PDF查看PDF原文

                    合并资产负债表

                                        2021年6月30日

编制单位:欧菲光集团股份有限公司                                                        单位:元

                资产                            期末金额                    期初金额

流动资产:

  货币资金                                        3,456,780,899.59              3,371,620,216.25

  交易性金融资产                                              -                            -

  应收票据                                        460,416,599.82              198,545,807.60

  应收账款                                        5,723,253,529.96            11,302,305,055.23

  应收款项融资                                                -                            -

  预付款项                                          90,516,646.13                27,722,122.44

  其他应收款                                        90,761,515.71                53,826,327.33

      其中:应收利息                                            -                      98,070.00

            应收股利                                            -                            -

  存货                                            4,085,000,235.94              4,947,187,882.31

  持有待售资产                                      96,491,496.95                          -

  一年内到期的非流动资产                          372,629,638.35              372,629,638.35

  其他流动资产                                    470,041,141.63              561,015,571.21

            流动资产合计                        14,845,891,704.08            20,834,852,620.72

非流动资产:

  其他债权投资                                      6,460,100.00                  6,524,900.00

  长期应收款                                        82,219,606.47              110,279,357.17

  长期股权投资                                    1,261,688,034.78              1,356,697,890.99

  其他权益工具投资                                675,504,313.07              471,169,109.89

  投资性房地产                                      25,391,967.93                          -

  固定资产                                        6,580,493,962.25              8,225,564,103.01

  在建工程                                        512,957,912.38              371,027,533.37

  使用权资产                                      744,630,193.40                          -

  无形资产                                        1,400,950,512.21              1,880,199,833.16

  开发支出                                        157,222,364.30              116,725,420.92

  商誉                                            122,270,674.27              122,270,674.27

  长期待摊费用                                    136,416,634.81              131,444,733.07

  递延所得税资产                                  441,761,376.01              414,751,376.58

  其他非流动资产                                  249,350,928.99              185,554,700.46

            非流动资产合计                        12,397,318,580.87            13,392,209,632.89

              资产总计                          27,243,210,284.95            34,227,062,253.61

  法定代表人:赵伟              主管会计工作负责人:曾兆豪            会计机构负责人:姚飞


                合并资产负债表(续)

                                        2021年6月30日

编制单位:欧菲光集团股份有限公司                                                        单位:元

            负债和股东权益                      期末金额                    期初金额

流动负债:

  短期借款                                      2,110,719,477.43            3,207,911,965.23

  交易性金融负债                                            -                  1,346,607.62

  衍生金融负债                                              -                            -

  应付票据                                      1,189,215,113.46            1,635,451,261.81

  应付账款                                      3,423,950,149.70            7,093,567,187.09

  预收款项                                          5,021,100.98                4,308,868.70

  合同负债                                        31,078,751.74                32,733,558.87

  应付职工薪酬                                    388,600,601.97              640,977,683.77

  应交税费                                        27,770,213.78              200,848,822.04

  其他应付款                                      54,324,584.59              105,915,222.00

    其中:应付利息                                            -                  37,227,364.18

          应付股利                                            -                            -

  持有待售负债                                              -                            -

  一年内到期的非流动负债                        5,425,080,100.01            3,457,608,922.13

  其他流动负债                                    50,095,379.37                60,189,184.01

            流动负债合计                        12,705,855,473.03            16,440,859,283.27

非流动负债:

  长期借款                                      3,386,541,072.89            6,809,381,688.28

  应付债券                                                  -                            -

   其中:优先股                                            -                            -

      永续债                                            -           
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