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兖矿能源(600188) 资产负债表 单位:万元 |
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报表日期 | 2024-09-30 | 2024-06-30 | 2024-03-31 | 2023-12-31 | 2023-09-30 |
流动资产 | |||||
货币资金 | 4,617,817.10 | 4,119,170.00 | 4,478,886.70 | 3,759,713.60 | 3,306,489.10 |
交易性金融资产 | 11,358.20 | 10,030.60 | 10,747.20 | 10,747.20 | 10,688.20 |
衍生金融资产 | -- | -- | -- | -- | -- |
应收票据及应收账款 | 742,440.60 | 676,520.30 | 869,160.00 | 781,525.50 | 914,022.00 |
应收票据 | 76,970.70 | 92,765.40 | 93,996.40 | 86,941.10 | 124,151.60 |
应收账款 | 665,469.90 | 583,754.90 | 775,163.60 | 694,584.40 | 789,870.40 |
应收款项融资 | 406,004.70 | 539,074.00 | 475,104.80 | 467,073.80 | 480,431.10 |
预付款项 | 547,868.50 | 649,393.10 | 726,597.10 | 507,391.80 | 495,523.20 |
其他应收款(合计) | 376,102.20 | 432,973.00 | 506,888.40 | 420,107.90 | 420,954.50 |
应收利息 | -- | -- | -- | -- | 4,033.00 |
应收股利 | -- | 111.00 | 45,523.00 | 45,523.00 | 150.00 |
其他应收款 | -- | 432,862.00 | -- | 374,584.90 | -- |
买入返售金融资产 | -- | -- | -- | -- | -- |
存货 | 913,967.20 | 789,530.40 | 787,670.80 | 774,191.00 | 745,453.70 |
划分为持有待售的资产 | -- | -- | 829.10 | 829.10 | 785.50 |
一年内到期的非流动资产 | 213,028.70 | 149,014.30 | 255,114.30 | 218,592.80 | 260,771.70 |
待摊费用 | -- | -- | -- | -- | -- |
待处理流动资产损益 | -- | -- | -- | -- | -- |
其他流动资产 | 2,861,654.90 | 2,835,594.50 | 2,676,948.10 | 2,674,682.00 | 2,452,840.80 |
流动资产合计 | 10,691,320.60 | 10,201,759.90 | 10,790,194.00 | 9,616,904.50 | 9,088,374.00 |
非流动资产 | |||||
发放贷款及垫款 | -- | -- | -- | -- | -- |
可供出售金融资产 | -- | -- | -- | -- | -- |
持有至到期投资 | 6,882.90 | 6,766.30 | 6,884.70 | 6,884.70 | 20,882.30 |
长期应收款 | 105,758.70 | 231,767.80 | 224,438.30 | 233,342.00 | 167,657.30 |
长期股权投资 | 2,563,687.50 | 2,522,107.90 | 2,452,157.90 | 2,399,260.50 | 2,465,948.60 |
投资性房地产 | 110,956.90 | 110,956.90 | 110,956.90 | 110,956.90 | 150,404.00 |
在建工程(合计) | 2,473,741.50 | 2,140,073.70 | 2,081,367.00 | 2,020,495.70 | 2,134,878.40 |
在建工程 | -- | 2,140,073.70 | -- | 2,020,495.70 | -- |
工程物资 | -- | -- | -- | -- | -- |
固定资产及清理(合计) | 10,593,487.20 | 10,796,684.30 | 10,903,781.40 | 11,247,643.20 | 10,793,107.10 |
固定资产净额 | -- | 10,795,258.20 | -- | 11,246,858.60 | -- |
固定资产清理 | -- | 1,426.10 | -- | 784.60 | -- |
生产性生物资产 | -- | -- | -- | -- | -- |
公益性生物资产 | -- | -- | -- | -- | -- |
油气资产 | -- | -- | -- | -- | -- |
使用权资产 | 78,346.70 | 68,030.20 | 38,536.20 | 61,679.20 | 91,121.70 |
无形资产 | 6,549,375.30 | 6,568,472.00 | 6,567,419.50 | 6,715,555.20 | 6,558,873.50 |
开发支出 | -- | -- | -- | -- | -- |
商誉 | 31,883.50 | 31,360.50 | 30,565.40 | 31,891.80 | 30,267.30 |
长期待摊费用 | 53,870.90 | 40,076.40 | 50,457.50 | 52,582.90 | 58,664.30 |
递延所得税资产 | 550,505.70 | 547,085.20 | 532,580.00 | 548,056.50 | 478,387.10 |
其他非流动资产 | 2,462,192.00 | 2,519,275.90 | 2,214,454.20 | 2,220,551.30 | 1,560,506.30 |
非流动资产合计 | 25,744,104.30 | 25,744,527.20 | 25,375,608.50 | 25,810,909.40 | 24,697,540.50 |
资产总计 | 36,435,424.90 | 35,946,287.10 | 36,165,802.50 | 35,427,813.90 | 33,785,914.50 |
流动负债 | |||||
短期借款 | 725,723.70 | 605,877.40 | 495,102.80 | 408,429.90 | 676,587.00 |
交易性金融负债 | 67,704.30 | 66,557.50 | 55,076.10 | 55,076.10 | 65,333.00 |
应付票据及应付账款 | 2,745,596.40 | 2,697,510.40 | 3,040,617.40 | 3,142,986.20 | 2,694,044.40 |
应付票据 | 1,137,879.50 | 1,121,740.60 | 1,349,480.60 | 1,187,685.50 | 1,191,403.40 |
应付账款 | 1,607,716.90 | 1,575,769.80 | 1,691,136.80 | 1,955,300.70 | 1,502,641.00 |
预收款项 | -- | 0.90 | -- | -- | -- |
应付手续费及佣金 | -- | -- | -- | -- | -- |
应付职工薪酬 | 243,706.80 | 243,783.30 | 222,187.70 | 257,632.40 | 222,884.80 |
应交税费 | 197,724.40 | 238,527.10 | 280,208.60 | 405,016.90 | 474,717.20 |
其他应付款(合计) | 4,571,417.10 | 4,632,287.80 | 5,204,518.70 | 5,338,682.30 | 4,672,220.90 |
应付利息 | -- | -- | -- | -- | 74,845.00 |
应付股利 | 244,479.30 | 1,366,602.10 | 292,747.10 | 293,147.10 | 305,809.20 |
其他应付款 | -- | 3,265,685.70 | -- | 5,045,535.20 | -- |
预提费用 | -- | -- | -- | -- | -- |
一年内的递延收益 | -- | -- | -- | -- | -- |
应付短期债券 | -- | -- | -- | -- | -- |
一年内到期的非流动负债 | 2,669,753.50 | 1,940,021.20 | 2,156,145.60 | 2,080,454.30 | 1,775,718.30 |
其他流动负债 | 168,420.20 | 181,171.20 | 118,646.20 | 113,484.30 | 950,232.10 |
流动负债合计 | 12,043,035.10 | 11,173,640.60 | 12,182,182.90 | 12,310,906.90 | 12,028,346.10 |
非流动负债 | |||||
长期借款 | 5,746,900.70 | 7,156,903.30 | 6,320,707.50 | 6,135,522.00 | 5,676,249.80 |
应付债券 | 1,747,293.90 | 1,247,241.70 | 1,224,821.50 | 1,217,285.80 | 1,981,595.30 |
租赁负债 | 33,402.90 | 45,383.50 | 32,135.30 | 32,511.70 | 36,092.80 |
长期应付职工薪酬 | 574,249.30 | 567,274.40 | 596,363.10 | 588,063.80 | 574,902.90 |
长期应付款(合计) | 873,817.50 | 1,028,044.20 | 906,822.70 | 929,591.40 | 934,340.90 |
长期应付款 | -- | 1,026,603.80 | -- | 927,975.70 | -- |
专项应付款 | -- | 1,440.40 | -- | 1,615.70 | -- |
预计非流动负债 | 1,374,520.70 | 1,369,210.10 | 1,330,932.50 | 1,369,055.80 | 1,341,227.30 |
递延所得税负债 | 962,318.60 | 950,562.20 | 964,903.50 | 978,576.30 | 870,259.50 |
长期递延收益 | 32,063.30 | 31,244.20 | 32,625.80 | 32,931.80 | 36,265.40 |
其他非流动负债 | 296.30 | 138.40 | -- | -- | -- |
非流动负债合计 | 11,344,863.20 | 12,396,002.00 | 11,409,311.90 | 11,283,538.60 | 11,450,933.90 |
负债合计 | 23,387,898.30 | 23,569,642.60 | 23,591,494.80 | 23,594,445.50 | 23,479,280.00 |
所有者权益 | |||||
实收资本(或股本) | 1,003,986.00 | 772,297.00 | 743,937.10 | 743,937.10 | 744,204.10 |
资本公积 | 415,874.90 | 411,526.40 | -9,063.30 | -7,910.40 | 7,935.20 |
减:库存股 | 12,607.40 | 21,454.30 | 23,670.20 | 32,498.00 | 33,462.80 |
其他综合收益 | -622,909.20 | -677,130.60 | -733,739.10 | -633,471.60 | -744,399.10 |
专项储备 | 360,734.20 | 379,138.40 | 402,601.30 | 358,650.60 | 502,215.90 |
盈余公积 | 166,381.40 | 166,381.40 | 166,381.40 | 166,381.40 | -- |
一般风险准备 | -- | -- | -- | -- | -- |
未分配利润 | 4,786,229.60 | 4,634,510.60 | 5,395,803.70 | 5,020,123.40 | 4,748,339.60 |
归属于母公司股东权益合计 | 8,131,769.10 | 7,590,680.10 | 7,912,371.90 | 7,269,390.20 | 6,373,499.20 |
少数股东权益 | 4,915,757.50 | 4,785,964.40 | 4,661,935.80 | 4,563,978.20 | 3,933,135.30 |
所有者权益(或股东权益)合计 | 13,047,526.60 | 12,376,644.50 | 12,574,307.70 | 11,833,368.40 | 10,306,634.50 |
负债和所有者权益(或股东权益)总计 | 36,435,424.90 | 35,946,287.10 | 36,165,802.50 | 35,427,813.90 | 33,785,914.50 |
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