塔牌集团

- 002233

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塔牌集团(002233) 资产负债表
报告期2008-06-302008-03-312007-12-312006-12-31
资产
流动资产
货币资金292,857,366305,176,44675,196,97122,523,753
短期投资0000
短期投资跌价准备0000
短期投资净额0000
应收票据0000
应收股利0000
应收利息0000
应收帐款0000
应收账款净额38,505,66226,039,21129,832,94350,982,971
其他应收款0000
其他应收款净额33,049,37343,658,33430,879,73549,656,821
内部应收款0000
坏帐准备0000
应收款项净额71,555,03469,697,54560,712,678100,639,793
预付帐款96,198,62237,028,46526,522,42319,620,448
其它补贴款0000
存货0000
存货跌价准备0000
存货净额412,067,673366,712,394336,534,679286,308,031
待摊费用0000
待处理流动资产净损失0000
一年内到期的长期债权投资0000
其它流动资产0000
附属企业往来0000
内部往来0000
流动资产合计872,678,696778,614,850498,966,751429,092,025
长期投资
长期股权投资11,079,0322,000,0004,000,0000
长期债权投资0000
其他长期投资0000
长期投资合计0000
长期投资减值准备0000
长期投资净额11,080,0322,001,2704,001,2701,270
合并价差0000
股权投资差额0000
固定资产
固定资产原价0000
累计折旧0000
固定资产净值0000
固定资产减值准备0000
固定资产净额1,334,754,7841,362,885,3991,373,856,3911,411,418,664
工程物资81,674000
在建工程0000
在建工程减值准备0000
在建工程净额848,448,636688,020,259507,157,283203,804,011
待处理固定资产净损失0000
固定资产清理0000
固定资产合计2,183,285,0942,050,905,6581,881,013,6751,615,222,675
无形资产及其他资产
无形资产0000
开办费0000
递延资产0000
长期待摊费用0000
其他长期资产0000
无形资产及其他资产合计136,380,888137,763,752137,218,389116,460,080
递延税项
递延税项借项8,111,7788,033,0817,992,4967,081,107
资产总计3,212,136,4882,977,918,6112,529,192,5812,167,857,156
负债及股东权益
流动负债
短期借款290,245,440743,245,440575,395,440324,395,440
应付票据72,674,15749,139,10500
应付帐款177,329,620191,694,009245,162,462188,547,448
预收帐款147,735,606179,998,018156,252,931120,430,871
代销商品款0000
应付工资8,116,42610,944,45418,205,01133,799,372
应付福利费0000
应付股利0000
应交税金16,648,38448,776,19536,857,17727,744,588
其他应交款0000
其他应付款75,549,92876,198,27668,887,19577,523,758
预提费用0000
预计负债0000
一年内到期的长期负债193,000,000193,000,000193,000,00033,000,000
其他流动负债0000
职工奖励及福利基金0000
国内票据结算0000
流动负债合计981,758,8091,493,761,8461,293,760,216805,441,477
长期负债
长期借款460,000,000730,000,000510,000,000770,000,000
应付债券0000
长期应付款0000
住房周转金0000
专项应付款0000
其他长期负债10,235,37210,235,37210,235,3720
长期负债合计470,235,372740,235,372520,235,372770,000,000
递延税项贷项0000
负债合计1,451,994,1812,233,997,2181,813,995,5881,575,441,477
少数股东权益60,024,35456,752,57292,046,901113,118,163
股东权益
股本400,000,000300,000,000300,000,000180,000,000
已归还投资0000
股本净额400,000,000300,000,000300,000,000180,000,000
资本公积金981,341,925114,890,750111,410,75050,842,780
盈余公积金14,299,62614,299,62614,299,62622,737,984
公益金0000
未确认的投资损失0000
未分配利润304,476,402257,978,445197,439,716225,716,752
货币换算差额0000
股东权益合计1,700,117,952687,168,821623,150,092479,297,516
负债及股东权益总计3,212,136,4882,977,918,6112,529,192,5812,167,857,156
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