资产负债表

2024年中报2024年一季报2023年年报2023年三季报
公司类型通用通用通用通用
流动资产:
货币资金(元)6,617,642,948.518,336,099,086.1211,234,993,670.3112,168,673,410.93
应收票据(元)1,416,26017,688,68016,272,4200
应收账款(元)2,283,118,882.452,180,979,496.932,351,314,253.412,218,802,204.83
预付款项(元)27,177,715,109.0726,737,254,111.5927,290,619,155.9726,271,707,343.77
其他应收款(元)0000
存货(元)11,680,458,205.0114,983,358,368.616,318,082,574.6318,098,577,760.17
一年内到期的非流动资产(元)6,526,706,663.438,067,214,434.797,911,038,620.737,485,374,595.8
其他流动资产(元)536,307,422.56627,309,407.16756,562,902.21820,169,895.24
流动资产合计(元)57,045,904,177.5863,258,308,774.5668,290,891,853.2669,639,522,188.22
非流动资产:
长期应收款(元)3,198,238,850.232,695,261,151.983,425,809,438.884,093,293,737.26
长期股权投资(元)1,792,621,941.11,890,618,390.181,886,420,537.441,940,092,659.27
投资性房地产(元)649,649,516598,377,563598,377,563607,686,515
固定资产(元)10,884,333,574.3311,193,313,427.2611,369,030,786.1411,548,096,455.27
在建工程(元)121,945,391.76119,610,395.64125,836,496.82141,071,261.48
无形资产(元)7,748,465,076.337,830,253,583.757,910,942,502.098,105,975,863.27
商誉(元)18,748,831,704.1318,748,831,704.1318,748,831,704.1318,748,831,704.13
长期待摊费用(元)1,019,088,201.71,086,628,585.221,075,479,754.831,143,983,218.34
递延所得税资产(元)723,249,541.34770,079,367.81772,880,354.25620,392,655.57
其他非流动资产(元)268,656,448.39262,588,910.38254,313,804.23394,139,921.83
非流动资产合计(元)48,429,726,805.6748,479,117,767.0149,393,497,179.7650,684,002,565.56
资产总计(元)105,475,630,983.25111,737,426,541.57117,684,389,033.02120,323,524,753.78
流动负债:
短期借款(元)26,690,890,915.7930,462,559,120.9133,658,955,324.935,735,755,084.48
应付票据(元)7,697,432,030.218,377,233,410.0211,592,410,202.6711,470,755,982.35
应付账款(元)2,705,029,841.912,596,222,835.782,305,716,272.192,188,967,173.33
预收款项(元)665,049.761,043,307.773,394,447.363,714,887.26
应付职工薪酬(元)431,961,290.15364,806,088.19385,154,034.08159,339,973.49
应交税费(元)1,405,368,140.241,450,313,528.471,434,577,222.111,378,468,245.55
应付股利(元)24,511,803.4524,316,251.5724,246,078.6524,246,078.65
其他应付款(元)2,452,219,262.222,683,196,432.161,744,167,068.562,403,468,672.43
一年内到期的非流动负债(元)7,550,718,204.215,784,504,342.947,940,613,155.867,490,419,425.75
其他流动负债(元)166,057,873.83223,107,279.15216,270,145.07185,874,481.51
流动负债合计(元)50,352,916,450.4553,325,973,185.3160,933,577,200.6662,626,568,932.35
非流动负债:
长期借款(元)3,961,592,194.274,615,579,098.24,403,475,287.554,683,094,256.57
应付债券(元)3,260,938,007.065,390,749,287.544,028,520,015.224,068,734,784.33
长期应付款(元)1,884,174,300.661,823,034,914.021,825,284,440.62,039,356.29
预计负债(元)3,884,422.23009,524,045.28
递延所得税负债(元)1,573,523,103.81,616,502,568.491,632,933,986.681,665,701,185.79
其他非流动负债(元)114,220,566.7399,030,637.22118,168,619.8279,010,372.84
非流动负债合计(元)13,078,325,250.215,928,242,705.0514,349,405,894.4613,052,033,750.4
负债合计(元)63,431,241,700.6569,254,215,890.3675,282,983,095.1275,678,602,682.75
所有者权益(或股东权益):
实收资本(或股本)(元)8,289,548,7308,111,330,6568,111,324,2078,111,319,991
其他权益工具(元)724,536,711.4843,242,507.92843,249,021.66843,253,280.65
资本公积(元)12,890,084,817.8612,731,678,680.4912,731,653,963.8112,958,771,609.92
减:库存股(元)133,989,262.87341,555,434.67339,555,412.67334,553,533.67
盈余公积(元)631,186,643.41631,186,643.41631,186,643.41605,551,986.91
未分配利润(元)16,648,585,948.4417,393,684,022.0217,322,743,566.1917,657,205,335.74
归属于母公司股东权益合计(元)38,705,674,062.4839,042,461,426.9738,974,588,355.5139,457,606,240.73
少数股东权益(元)3,338,715,220.123,440,749,224.243,426,817,582.395,187,315,830.3
股东权益合计(元)42,044,389,282.642,483,210,651.2142,401,405,937.944,644,922,071.03
负债和股东权益合计(元)105,475,630,983.25111,737,426,541.57117,684,389,033.02120,323,524,753.78
公告日期2024-08-302024-04-252024-04-252023-10-28