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首页 公告 欧菲光:2022年半年度财务报告

欧菲光:2022年半年度财务报告

公告日期:2022-08-30

欧菲光:2022年半年度财务报告 PDF查看PDF原文

              欧菲光集团股份有限公司

                  2022 年半年度财务报告

一、审计报告
半年度报告是否经过审计
□是 否
公司半年度财务报告未经审计。
二、财务报表
财务附注中报表的单位为:元
1、合并资产负债表
编制单位:欧菲光集团股份有限公司

                                                                                                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                                            3,267,839,977.92                    3,628,475,548.04

  应收票据                                              126,538,331.09                      237,563,801.26

  应收账款                                            4,559,284,515.11                    6,414,076,914.21

  应收款项融资                                          26,206,630.90                        71,693,145.97

  预付款项                                              74,858,300.24                      230,299,677.47

  其他应收款                                            475,620,792.49                      604,822,868.49

    其中:应收利息                                      10,464,000.01                            -

          应收股利                                          -                            -

  存货                                                3,373,634,699.94                    3,512,971,895.71

  一年内到期的非流动资产                                43,090,864.75                        34,929,832.41

  其他流动资产                                          276,349,365.71                      384,416,745.80

 流动资产合计                                        12,223,423,478.15                    15,119,250,429.36

 非流动资产:

  其他债权投资                                            6,711,400.00                        6,375,700.00

  长期应收款                                            25,881,646.31                        50,012,951.83

  长期股权投资                                          971,171,497.97                    1,041,184,438.95

  其他权益工具投资                                      575,603,043.60                      588,649,055.15

  投资性房地产                                          12,078,815.44                        24,906,167.89

  固定资产                                            4,699,088,701.51                    4,942,638,958.05

  在建工程                                              945,434,980.68                      483,072,903.85

  使用权资产                                            467,190,551.10                      376,265,891.71


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

  无形资产                                            1,113,181,812.53                    1,056,720,967.42

  开发支出                                              294,857,763.76                      238,818,990.21

  商誉                                                  122,270,674.27                      122,270,674.27

  长期待摊费用                                          102,651,824.12                      113,704,490.85

  递延所得税资产                                        341,260,856.84                      344,541,219.95

  其他非流动资产                                        117,406,700.81                      128,772,492.87

非流动资产合计                                        9,794,790,268.94                    9,517,934,903.00

资产总计                                            22,018,213,747.09                    24,637,185,332.36

流动负债:

  短期借款                                            2,352,916,827.62                    1,805,774,271.63

  应付票据                                              421,475,184.70                      695,978,744.84

  应付账款                                            3,054,402,990.78                    4,217,365,387.84

  预收款项                                                2,033,609.79                          79,456.00

  合同负债                                              279,172,344.62                        20,518,563.76

  应付职工薪酬                                          176,419,516.10                      476,979,430.57

  应交税费                                              23,595,096.38                        66,421,129.37

  其他应付款                                            75,946,364.97                        72,425,908.73

    其中:应付利息                                          -                            -

          应付股利                                          -                            -

  一年内到期的非流动负债                              3,313,489,205.05                    3,933,026,046.58

  其他流动负债                                          35,665,861.78                        1,592,235.65

流动负债合计                                          9,735,117,001.79                    11,290,161,174.97

非流动负债:

  长期借款                                            2,805,946,037.91                    2,694,557,096.91

  租赁负债                                              405,325,605.78                      265,478,822.58

  长期应付款                                            145,943,166.42                      284,690,162.43

  预计负债                                              22,100,183.
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