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周大生:半年报财务报表

公告日期:2023-08-26

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                      合并资产负债表(未经审计)

编制单位:周大生珠宝股份有限公司                                    2023/6/30                            金额单位:人民币元

          项目          附注  2023年6月30日    2022年12月31日            项目            附注 2023年6月30日  2022年12月31日

流动资产:                                                            流动负债:

货币资金                          1,659,976,147.44  1,735,407,855.10 短期借款                            400,288,888.90                -

结算备付金                                                            向中央银行借款

拆出资金                                                              拆入资金

交易性金融资产                        409,891,258.83                  交易性金融负债                      536,974,104.93    509,598,886.60

衍生金融资产                                      -                    衍生金融负债

应收票据                                1,000,000.00                  应付票据                              7,426,169.31      18,900,578.01

应收账款                              631,435,620.21    817,199,817.49 应付账款                            148,375,962.85    252,285,346.15

应收款项融资                                      -                -  预收款项                            36,148,848.31      43,296,677.62

预付款项                            13,300,127.52      10,840,505.55 合同负债                            20,862,361.66      21,250,387.62

应收保费                                                              卖出回购金融资产款

应收分保账款                                                          吸收存款及同业存放

应收分保合同准备金                                                    代理买卖证券款

其他应收款                          46,780,703.89      31,277,933.38 代理承销证券款

其中:应收利息                                    -                -  应付职工薪酬                        24,417,500.13      74,154,878.21

      应收股利                                    -                -  应交税费                            182,480,684.20    132,590,495.08

买入返售金融资产                                                      其他应付款                          433,644,630.56    366,289,751.49

存货                                3,563,024,248.90  3,342,431,445.78 其中:应付利息                                -                -

合同资产                                          -                          应付股利                                -                -

持有待售资产                                      -                    应付手续费及佣金

一年内到期的非流动资产                            -                    应付分保账款

发放贷款及垫款(一年内)                146,274,570.47    186,283,157.46 持有待售负债                                  -                -

其他流动资产                          148,290,368.11    111,538,143.69 一年内到期的非流动负债              60,127,266.48      50,877,725.62

流动资产合计                          6,619,973,045.37  6,234,978,858.45 其他流动负债                        11,271,562.15      8,104,536.15

非流动资产:                                                          流动负债合计                      1,862,017,979.48  1,477,349,262.55

发放贷款及垫款                                    -        4,426,590.00 非流动负债:

债权投资                                          -                    保险合同准备金

其他债权投资                                      -                    长期借款                            18,000,000.00      18,000,000.00

长期应收款                                        -                    应付债券                                      -                -

长期股权投资                          154,959,531.00    154,949,532.55 其中:优先股                                  -

其他权益工具投资                          3,526,602.44      3,556,479.60      永续债                                  -

其他非流动金融资产                                -                -  租赁负债                            36,492,785.44      46,511,735.90

投资性房地产                            5,001,139.01      5,100,188.67 长期应付款                                    -                -

固定资产                                14,386,450.37    15,452,570.06 长期应付职工薪酬                              -                -

在建工程                              592,104,991.50    505,486,690.86 预计负债                              4,189,752.91      3,986,348.56

生产性生物资产                                    -                    递延收益                              4,570,000.00      12,512,760.00

油气资产                                          -                    递延所得税负债                        2,006,140.88                -

使用权资产                              94,680,545.79    93,812,009.69 其他非流动负债                                -

无形资产                              393,374,607.10    403,493,545.17 非流动负债合计                      65,258,679.23      81,010,844.46

开发支出                                          -                -  负债合计                          1,927,276,658.71  1,558,360,107.01

商誉                                            -                -  所有者权益:

长期待摊费用                            41,165,248.40    46,098,598.47 股本                              1,095,926,265.00  1,095,926,265.00

递延所得税资产                        137
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