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首页 公告 奥赛康:一季报财务报表

奥赛康:一季报财务报表

公告日期:2021-04-28

奥赛康:一季报财务报表 PDF查看PDF原文

                              合并资产负债表

                                2021年3月31日

                  (除特别注明外,金额单位均为人民币元)

              项目                        2021 年 3 月 31 日                    2020 年 12 月 31 日

流动资产 :

    货币 资金                                            822,063,450.30                      1,369,098,462.16

    结算 备付金

    拆出 资金

    交易 性金融资产                                      645,000,000.00                        100,000,000.00

    衍生 金融资产

    应收 票据

    应收 账款                                            681,797,438.99                        713,868,272.54

    应收 款项融资                                        280,092,383.58                        254,402,952.68

    预付 款项                                              42,254,112.20                        10,744,655.59

    应收 保费

    应收 分保账款

    应收 分保合同准备 金

    其他 应收款                                            17,072,589.05                        24,789,869.14

      其 中:应收利息                                      5,672,052.05

            应收股利

    买入 返售金融资产

    存货                                                159,462,520.83                        168,736,499.36

    合同 资产

    持有 待售资产

    一年 内到期的非流 动资产

    其他 流动资产                                          9,518,755.54                          5,269,044.21

流动资产 合计                                          2,657,261,250.49                      2,646,909,755.68

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

    长期 股权投资                                          89,593,370.29                        73,350,153.78

    其他 权益工具投资                                      3,859,821.20                          4,006,656.65

    其他 非流动金融资 产

    投资 性房地产                                          1,468,444.47                          1,497,300.72

    固定 资产                                            672,413,259.37                        690,934,701.15

    在建 工程                                              18,839,225.18                        15,723,324.43

    生产 性生物资产

    油气 资产

    使用 权资产

    无形 资产                                              84,337,452.62                        84,912,485.83

    开发 支出                                            255,008,009.46                        234,571,702.30

    商誉

    长期 待摊费用                                          22,412,924.34                        22,900,725.15

    递延 所得税资产                                        27,386,446.57                        26,903,718.03

    其他 非流动资产                                        5,616,378.89                          6,388,872.79

非流动资 产合计                                        1,180,935,332.39                      1,161,189,640.83

资产总计                                                3,838,196,582.88                      3,808,099,396.51


                            合并资产负债表(续)

                              2021年 3月 31日

                  (除特别注明外,金额单位均为人民币元)

              项目                        2021 年 3 月 31 日                    2020 年 12 月 31 日

流动负债 :

    短期 借款                                            20,012,527.77                        20,012,527.77

    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                                                    0.00

    应付 账款                                            84,873,140.53                        95,292,311.58

    预收 款项

    合同 负债                                            12,059,106.40                        31,179,607.45

    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                                        20,788,913.47                        56,588,579.26

    应交 税费                                            58,391,104.98                        74,000,816.26

    其他 应付款                                          344,590,516.38                        408,862,001.05

      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

    其他 流动负债                                          2,663,332.40                          4,053,348.97

流动负债 合计                                            543,378,641.93                        689,989,192.34

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

    长期 应付款

    长期 应付职工薪酬

    预计 负债

    递延 收益                                            69,813,580.46                        69,409,974.49

    递延 所得税负债                                      15,489,103.81                        15,492,194.73

    其他 非流动负债

非流动负 债合计                                          85,302,684.27                        84,902,169.22

负债合计                                                628,681,326.20                        774,891,361.56

所有者权 益:

    股本                                                928,160,351.00                        928,160,351.00

    其他 权益工具

      其 中:优先股

            永续债

    资本 公积                                              1,492,205.43                          1,492,205.43

    减: 库存股

    其他 综合收益        
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