中国重汽: 半年报财务报表

来源:证券之星 2023-08-31 00:00:00
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中国重汽集团济南卡车股份有限公司
(除特别注明外,金额单位为人民币元)
        项目
                        合并                 母公司                  合并                  母公司
流动资产:
  货币资金               12,397,624,110.78    8,179,038,347.74   13,154,198,481.88    8,688,230,970.58
  交易性金融资产             1,004,633,698.65    1,004,633,698.65
  应收票据                 190,618,815.72      186,470,145.09      369,694,921.70       362,821,736.94
  应收账款                7,232,970,284.13    5,703,681,071.84    6,070,777,651.37    5,663,155,876.76
  应收款项融资              5,000,597,006.01    3,545,404,302.21    3,863,800,512.68    2,804,046,773.00
  预付款项                 326,204,178.05      248,947,800.84      257,987,438.60       228,991,220.49
  其他应收款                 96,317,640.30     1,153,047,046.41      49,301,570.23     1,010,583,469.26
  存货                  4,033,075,165.44    3,636,490,903.12    3,591,081,204.08    3,210,047,020.08
  其他流动资产                30,097,507.98       21,344,722.43      146,711,121.73
流动资产合计               30,312,138,407.06   23,679,058,038.33   27,503,552,902.27   21,967,877,067.11
非流动资产:
  长期股权投资                                   288,513,887.24                           288,513,887.24
  固定资产                4,431,703,760.74    3,498,497,653.59    4,424,208,135.73    3,542,033,403.02
  在建工程                 555,948,514.39      520,649,447.62      714,953,161.96       579,740,990.34
  无形资产                 839,565,141.47      699,867,539.47      850,381,974.67       708,283,598.90
  递延所得税资产              710,524,836.31      618,475,916.27      704,997,485.55       641,753,107.69
  其他非流动资产              626,712,721.71      576,712,721.71      173,421,215.21       168,941,768.42
非流动资产合计               7,164,454,974.62    6,202,717,165.90    6,867,961,973.12    5,929,266,755.61
资产总计                 37,476,593,381.68   29,881,775,204.23   34,371,514,875.39   27,897,143,822.72
流动负债:
  短期借款                                                         500,616,916.66       300,378,583.33
  应付票据                4,872,388,679.39    3,186,521,715.93    5,604,924,771.91    4,042,634,084.71
  应付账款               11,273,703,952.23    8,391,223,178.41    7,129,909,069.21    5,410,856,415.52
  合同负债                 855,532,448.80      830,752,918.65     1,238,301,675.48    1,151,460,710.39
  应付职工薪酬               221,399,465.20      154,407,255.85      380,941,307.22       291,393,878.94
  应交税费                 240,718,768.72      132,589,941.78      176,402,885.93       158,600,118.75
  其他应付款               3,254,465,326.57    2,472,045,536.37    2,958,307,102.34    2,284,149,195.48
   其中:应付利息
      应付股利             459,824,830.83       49,724,830.83      209,200,000.00
  其他流动负债              1,343,630,803.09     973,796,765.23     1,355,354,263.42    1,079,800,265.72
流动负债合计               22,061,839,444.00   16,141,337,312.22   19,344,757,992.17   14,719,273,252.84
非流动负债:
  长期应付职工薪酬             227,147,639.65      157,395,658.21      220,310,679.37       144,058,685.41
  预计负债                    8,452,484.67        8,452,484.67        5,240,846.74        5,240,846.74
  递延收益                 208,499,950.80      170,012,768.21      210,045,782.88       171,335,269.08
非流动负债合计                444,100,075.12      335,860,911.09      435,597,308.99       320,634,801.23
负债合计                 22,505,939,519.12   16,477,198,223.31   19,780,355,301.16   15,039,908,054.07
股东权益:
  股本                  1,174,869,360.00    1,174,869,360.00    1,174,869,360.00    1,174,869,360.00
  资本公积                4,930,027,593.24    4,928,477,899.29    4,930,027,593.24    4,928,477,899.29
  减:库存股                 75,105,912.41       75,105,912.41       75,105,912.41        75,105,912.41
  其他综合收益                -12,885,172.48       -9,603,214.16       -9,814,417.82       -7,236,640.89
  专项储备                  13,379,875.09       11,315,036.47       12,099,502.27        11,013,242.82
  盈余公积                 917,126,032.35      917,126,032.35      917,126,032.35       917,126,032.35
  未分配利润               7,190,935,237.91    6,457,497,779.38    6,790,725,381.26    5,908,091,787.49
归属于母公司股东权益合计         14,138,347,013.70   13,404,576,980.92   13,739,927,538.89   12,857,235,768.65
  少数股东权益               832,306,848.86                          851,232,035.34
股东权益合计               14,970,653,862.56   13,404,576,980.92   14,591,159,574.23   12,857,235,768.65
负债和股东权益总计            37,476,593,381.68   29,881,775,204.23   34,371,514,875.39   27,897,143,822.72
公司法定代表人:王琛                    主管会计工作负责人:毕研勋                               会计机构负责人:史志刚
中国重汽集团济南卡车股份有限公司
(除特别注明外,金额单位为人民币元)
                                       本年金额                                   上年金额
             项目
                              合并                 母公司                  合并               母公司
一、营业总收入                   20,187,198,581.77   16,101,850,906.71 15,331,182,074.24   12,113,969,882.27
  其中:营业收入                 20,187,198,581.77   16,101,850,906.71 15,331,182,074.24   12,113,969,882.27
二、营业总成本                   19,156,529,608.12   15,809,042,363.31 14,673,643,657.89   12,198,829,793.56
  其中:营业成本                 18,642,771,964.10   15,479,812,198.34 14,200,461,383.34   11,823,699,771.73
     税金及附加                   52,087,881.47       30,725,871.77      54,958,519.41      30,175,258.78
     销售费用                   279,058,396.48      178,652,891.57     176,251,529.42     190,159,253.15
     管理费用                    79,863,985.74       79,148,040.12     118,551,196.63      88,108,245.13
     研发费用                   196,872,336.01      100,113,761.96     165,176,485.14      92,321,695.59
     财务费用                    -94,124,955.68      -59,410,400.45    -41,755,456.05      -25,634,430.82
  加:其他收益                       3,224,193.83       1,921,118.81       6,060,564.55        5,272,872.04
    投资收益(损失以“-”号填列)                             499,100,000.00       9,782,817.50     960,582,817.50
    公允价值变动收益(损失以“-”号填          4,633,698.65       4,633,698.65
列)
    信用减值损失(损失以“-”号填列)         -3,856,427.45       3,365,818.05     -15,754,283.65      -17,041,346.14
    资产减值损失(损失以“-”号填列)       -123,562,473.33     -130,179,005.45    -62,198,658.71      -66,950,008.67
    资产处置收益(损失以“-”号填列)              4,192.03           4,192.03           2,150.42            2,150.42
三、营业利润(亏损以“-”号填列)           911,112,157.38      671,654,365.49     595,431,006.46     797,006,573.86
  加:营业外收入                      1,221,539.47         773,917.61      13,464,648.41      10,372,912.10
  减:营业外支出                      3,883,922.87       3,586,548.79       1,875,779.47        1,880,861.47
四、利润总额(亏损总额以“-”号填列)         908,449,773.98      668,841,734.31     607,019,875.40     805,498,624.49
  减:所得税费用                   230,401,915.92       23,578,156.44     106,918,620.76      -56,971,812.21
五、净利润(净亏损以“-”号填列)           678,047,858.06      645,263,577.87     500,101,254.64     862,470,436.70
六、其他综合收益的税后净额                 -4,016,560.08       -2,366,573.27    -14,492,819.44      -22,580,503.05
 归属母公司所有者的其他综合收益的税后净额         -3,070,754.66       -2,366,573.27    -18,092,478.45      -22,580,503.05
  (一)不能重分类进损益的其他综合收益          -1,730,225.09       -1,463,678.20        789,940.07         592,062.90
  (二)将重分类进损益的其他综合收益           -1,340,529.57         -902,895.07    -18,882,418.52      -23,172,565.95
 归属于少数股东的其他综合收益的税后净额            -945,805.42                          3,599,659.01
七、综合收益总额                    674,031,297.98      642,897,004.60     485,608,435.20     839,889,933.65
  归属于母公司所有者的综合收益总额          492,996,687.97      642,897,004.60     302,384,660.81     839,889,933.65
  归属于少数股东的综合收益总额            181,034,610.01                         183,223,774.39
八、每股收益:
  (一)基本每股收益                            0.42                                  0.27
  (二)稀释每股收益                            0.42                                  0.27
公司法定代表人:王琛              主管会计工作负责人:毕研勋                               会计机构负责人:史志刚
中国重汽集团济南卡车股份有限公司
(除特别注明外,金额单位为人民币元)
                                             本期金额                                   上期金额
                项目
                                    合并                 母公司                  合并                 母公司
一、经营活动产生的现金流量:
  销售商品、提供劳务收到的现金               17,839,022,420.58    14,424,434,641.25   12,843,633,336.52    9,806,536,652.18
  收到的税费返还                          52,692,540.63          557,774.97      679,722,302.80      679,722,302.80
  收到其他与经营活动有关的现金                  567,536,292.39      200,766,829.95      409,268,459.14      174,878,247.07
经营活动现金流入小计                     18,459,251,253.60    14,625,759,246.17   13,932,624,098.46   10,661,137,202.05
  购买商品、接受劳务支付的现金               15,440,943,839.66    12,650,915,859.08    9,608,930,801.54    9,267,312,643.37
  支付给职工以及为职工支付的现金                 713,084,155.28      541,395,424.07      551,494,410.25      413,052,133.61
  支付的各项税费                         387,324,543.34      157,743,659.23      430,308,823.53       94,922,320.81
  支付其他与经营活动有关的现金                  344,336,652.07      274,604,263.73      295,603,222.79      189,852,062.42
经营活动现金流出小计                     16,885,689,190.35    13,624,659,206.11   10,886,337,258.11    9,965,139,160.21
经营活动产生的现金流量净额                   1,573,562,063.25     1,001,100,040.06    3,046,286,840.35     695,998,041.84
二、投资活动产生的现金流量:
  收回投资收到的现金                                                                  79933249.75       79,933,249.75
  取得投资收益收到的现金                                         400,000,000.00         10120115.59       10,120,115.59
  处置固定资产、无形资产和其他长期资产收回的现金净额            48,211.25           15,777.40         4,822,256.90         816,227.09
投资活动现金流入小计                             48,211.25      400,015,777.40       94,875,622.24       90,869,592.43
  购建固定资产、无形资产和其他长期资产支付的现金         276,649,421.11      276,636,849.94      276,913,263.88      270,966,049.32
  投资所支付的现金                      1,000,000,000.00     1,000,000,000.00    1,000,000,000.00    1,000,000,000.00
  支付其他与投资活动有关的现金                  510,000,000.00      460,000,000.00
投资活动现金流出小计                      1,786,649,421.11     1,736,636,849.94    1,276,913,263.88    1,270,966,049.32
投资活动产生的现金流量净额                   -1,786,601,209.86   -1,336,621,072.54   -1,182,037,641.64   -1,180,096,456.89
三、筹资活动产生的现金流量:
 吸收投资收到的现金
  取得借款收到的现金                                                              1,200,000,000.00    1,000,000,000.00
 收到其他与筹资活动有关的现金                     4,923,077.30         4,923,077.30
筹资活动现金流入小计                          4,923,077.30         4,923,077.30    1,200,000,000.00    1,000,000,000.00
  偿还债务支付的现金                       500,000,000.00      300,000,000.00      600,000,000.00      600,000,000.00
  分配股利、利润或偿付利息支付的现金                52,425,221.20       50,345,221.22      190,684,625.70      190,000,181.26
  其中:子公司支付给少数股东的股利、利润
筹资活动现金流出小计                        552,425,221.20      350,345,221.22      790,684,625.70      790,000,181.26
筹资活动产生的现金流量净额                    -547,502,143.90      -345,422,143.92     409,315,374.30      209,999,818.74
四、现金及现金等价物净增加额                   -760,541,290.51      -680,943,176.40    2,273,564,573.01     -274,098,596.31
  加:期初现金及现金等价物余额               12,353,000,521.81     8,274,734,751.21    7,178,873,778.20    5,778,177,748.31
五、期末现金及现金等价物余额                 11,592,459,231.30     7,593,791,574.81    9,452,438,351.21    5,504,079,152.00
公司法定代表人:王琛              主管会计工作负责人:毕研勋                              会计机构负责人:史志刚
中国重汽集团济南卡车股份有限公司
(除特别注明外 ,金额单位为人民币元 )
                                                                                                         本期金额                                                                                                                                                                                 上期金额
           项目                                                                  归属于母公司所有者权益                                                                                                                                                                          归属于母公司所有者权益
                                                                                                                                                                     少数股东权益            所有者权益合计                                                                                                                                                             少数股东权益            所有者权益合计
                           股本               资本公积            减:库存股           其他综合收益            专项储备             盈余公积             未分配利润                 小计                                                        股本               资本公积            减:库存股           其他综合收益            专项储备             盈余公积             未分配利润                 小计
一、上年期末余额              1,174,869,360.00   4,930,027,593.24   75,105,912.41    -9,814,417.82   12,099,502.27   917,126,032.35   6,790,725,381.26   13,739,927,538.89   851,232,035.34    14,591,159,574.23   1,174,869,360.00   4,930,027,593.24               -   -39,499,746.09               -   861,659,408.84   6,984,937,478.26   13,911,994,094.25   1,063,432,178.80   14,975,426,273.05
  加:会计政策变更                                                                                                                                                       -                                     -                                                                                                                                              -                                      -
     前期差错更正                                                                                                                                                      -                                     -                                                                                                                                              -                                      -
     同一控制下企业合并                                                                                                                                                   -                                     -                                                                                                                                              -                                      -
     其他                                                                                                                                                          -                                     -                                                                                                                                              -                                      -
二、本年期初余额              1,174,869,360.00   4,930,027,593.24   75,105,912.41    -9,814,417.82   12,099,502.27   917,126,032.35   6,790,725,381.26   13,739,927,538.89   851,232,035.34    14,591,159,574.23   1,174,869,360.00   4,930,027,593.24               -   -39,499,746.09               -   861,659,408.84   6,984,937,478.26   13,911,994,094.25   1,063,432,178.80   14,975,426,273.05
三、本期增减变动金额 (减少以“-”号
                                     -                  -               -    -3,070,754.66    1,280,372.82                -    400,209,856.65      398,419,474.81     -18,925,186.48     379,494,288.33                   -                  -   63,287,554.01   -18,092,478.45   14,088,937.63                -     -31,983,668.74      -99,274,763.57    -344,177,281.59     -443,452,045.16
填列)
(一)综合收益总额                                                                    -3,070,754.66                                     496,067,442.63      492,996,687.97    181,034,610.01      674,031,297.98                                                          -18,092,478.45                                     320,477,139.26      302,384,660.81     183,223,774.39      485,608,435.20
(二)所有者投入和减少资本                        -                  -               -                -                                -                  -                   -                 -                   -                  -                  -   63,287,554.01                -                                -                  -      -63,287,554.01                  -      -63,287,554.01
(三)利润分配                              -                  -                                -                                -     -95,857,585.98      -95,857,585.98   -200,900,000.00     -296,757,585.98                  -                  -                                -                                -    -352,460,808.00     -352,460,808.00    -529,200,000.00     -881,660,808.00
(四)所有者权益内部结转                         -                  -                                -                                -                  -                   -                 -                   -                  -                  -                                -                                -                  -                   -                  -                   -
(五)专项储备                              -                  -                                -    1,280,372.82                -                  -        1,280,372.82       940,203.51         2,220,576.33                  -                  -                                -   14,088,937.63                -                  -       14,088,937.63       1,798,944.02       15,887,881.65
(六)其他                                                                                                                                                            -                                     -                                                                                                                                              -                                      -
四、本期期末余额              1,174,869,360.00   4,930,027,593.24   75,105,912.41   -12,885,172.48   13,379,875.09   917,126,032.35   7,190,935,237.91   14,138,347,013.70   832,306,848.86    14,970,653,862.56   1,174,869,360.00   4,930,027,593.24   63,287,554.01   -57,592,224.54   14,088,937.63   861,659,408.84   6,952,953,809.52   13,812,719,330.68    719,254,897.21    14,531,974,227.89
公司法定代表人 :王琛                                                                                                                   主管会计工作负责人 :毕研勋                                                                                                                     会计机构负责人 :史志刚
中国重汽集团济南卡车股份有限公司
(除特别注明外,金额单位为人民币元)
                                                                                     本期金额                                                                                                                                           上期金额
           项目                                                       归属于母公司所有者权益                                                                                                                                    归属于母公司所有者权益
                                                                                                                                                 所有者权益合计                                                                                                                                        所有者权益合计
                          股本                资本公积            减:库存股           其他综合收益            专项储备            盈余公积              未分配利润                                    股本                资本公积            减:库存股           其他综合收益            专项储备            盈余公积              未分配利润
一、上年期末余额              1,174,869,360.00   4,928,477,899.29   75,105,912.41    -7,236,640.89   11,013,242.82   917,126,032.35   5,908,091,787.49   12,857,235,768.65   1,174,869,360.00   4,928,477,899.29               -   -31,780,450.86               -   861,659,408.84   5,761,352,983.85   12,694,579,201.12
  加:会计政策变更                                                                                                                                                       -                                                                                                                                              -
    前期差错更正                                                                                                                                                       -                                                                                                                                              -
    其他                                                                                                                                                           -                                                                                                                                              -
二、本年期初余额              1,174,869,360.00   4,928,477,899.29   75,105,912.41    -7,236,640.89   11,013,242.82   917,126,032.35   5,908,091,787.49   12,857,235,768.65   1,174,869,360.00   4,928,477,899.29               -   -31,780,450.86               -   861,659,408.84   5,761,352,983.85   12,694,579,201.12
三、本期增减变动金额(减少以“-”号                   -                  -               -    -2,366,573.27     301,793.65                 -    549,405,991.89      547,341,212.27                   -                  -   63,287,554.01   -22,580,503.05   12,216,567.32                -    510,009,628.70      436,358,138.96
填列)
(一)综合收益总额                                                                    -2,366,573.27                                     645,263,577.87      642,897,004.60                                                          -22,580,503.05                                     862,470,436.70      839,889,933.65
(二)所有者投入和减少资本                        -                  -               -                -                                -                  -                   -                  -                  -   63,287,554.01                -                                -                  -      -63,287,554.01
(三)利润分配                              -                  -                                -                                -     -95,857,585.98      -95,857,585.98                  -                  -                                -                                -    -352,460,808.00     -352,460,808.00
(四)所有者权益内部结转                         -                  -                                -                                -                  -                   -                  -                  -                                -                                -                  -                   -
(五)专项储备                              -                  -                                -     301,793.65                 -                  -         301,793.65                   -                  -                                -   12,216,567.32                -                  -       12,216,567.32
(六)其他                                                                                                                                                            -                                                                                                                                              -
四、本期期末余额              1,174,869,360.00   4,928,477,899.29   75,105,912.41    -9,603,214.16   11,315,036.47   917,126,032.35   6,457,497,779.38   13,404,576,980.92   1,174,869,360.00   4,928,477,899.29   63,287,554.01   -54,360,953.91   12,216,567.32   861,659,408.84   6,271,362,612.55   13,130,937,340.08
公司法定代表人:王琛                                                                  主管会计工作负责人:毕研勋                                                                                               会计机构负责人:史志刚

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