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长安汽车:半年报财务报表 下载公告
公告日期:2021-08-31

2021年半年报财务报表

1、合并资产负债表

编制单位:重庆长安汽车股份有限公司

单位:元

项目2021年6月30日2020年12月31日
流动资产:
货币资金47,721,342,242.9132,001,775,600.07
交易性金融资产195,349,598.73204,254,400.00
应收票据28,778,252,297.1928,371,541,054.75
应收账款1,628,018,973.812,141,197,139.45
预付款项386,980,948.32460,703,603.80
其他应收款1,590,660,654.32723,919,037.36
存货4,089,490,661.315,967,516,230.57
合同资产1,479,108,607.551,450,031,414.61
其他流动资产1,059,255,213.361,568,711,870.61
流动资产合计86,928,459,197.5072,889,650,351.22
非流动资产:
长期股权投资11,571,676,934.1212,109,089,795.67
其他权益工具投资691,990,000.00691,990,000.00
投资性房地产6,762,782.386,876,138.16
固定资产23,289,621,403.4124,298,402,558.49
在建工程754,885,456.771,048,036,148.70
使用权资产68,982,797.00
无形资产4,141,087,463.874,433,771,236.26
开发支出685,346,700.20596,577,787.95
商誉48,883,188.3748,883,188.37
长期待摊费用12,303,868.6110,642,512.51
递延所得税资产2,257,601,368.142,131,266,677.52
非流动资产合计43,529,141,962.8745,375,536,043.63
资产总计130,457,601,160.37118,265,186,394.85
流动负债:
短期借款552,000,000.00578,000,000.00
应付票据27,186,257,508.9617,574,014,553.46
应付账款24,517,099,039.9823,118,793,794.42
合同负债4,667,333,563.934,471,158,190.75
应付职工薪酬2,132,013,116.532,015,868,366.57
应交税费607,975,454.791,292,001,263.86
其他应付款3,643,263,561.284,475,215,625.98
一年内到期的非流动负债328,905,578.01100,000,000.00
其他流动负债6,688,307,507.135,842,758,104.08
流动负债合计70,323,155,330.6159,467,809,899.12
非流动负债:
长期借款654,300,000.00955,300,000.00
租赁负债26,430,150.16
长期应付款207,811,375.66261,260,928.70
长期应付职工薪酬38,679,134.8741,634,000.00
预计负债3,542,337,828.973,125,170,942.46
递延收益1,260,920,806.57818,398,430.21
递延所得税负债112,438,837.91115,304,728.61
非流动负债合计5,842,918,134.145,317,069,029.98
负债合计76,166,073,464.7564,784,878,929.10
所有者权益:
股本5,439,591,574.005,363,396,174.00
资本公积11,469,222,886.4210,930,781,918.64
其他综合收益100,241,005.4178,420,720.78
专项储备76,873,092.4640,847,443.41
盈余公积2,681,698,087.002,681,698,087.00
未分配利润34,378,050,740.3234,315,048,892.26
归属于母公司所有者权益合计54,145,677,385.6153,410,193,236.09
少数股东权益145,850,310.0170,114,229.66
所有者权益合计54,291,527,695.6253,480,307,465.75
负债和所有者权益总计130,457,601,160.37118,265,186,394.85

法定代表人:朱华荣 主管会计工作负责人:张德勇 会计机构负责人:陈剑锋

2、母公司资产负债表

单位:元

项目2021年6月30日2020年12月31日
流动资产:
货币资金39,359,211,333.6525,238,014,025.38
交易性金融资产163,778,100.00180,929,400.00
应收票据27,048,733,022.0027,248,111,565.13
应收账款5,198,476,575.075,464,541,185.63
预付款项46,538,503.37294,088,044.01
其他应收款2,547,332,338.021,990,616,778.83
存货2,258,720,911.744,332,579,774.46
合同资产933,593,869.30941,046,613.60
其他流动资产658,687.55322,467,261.74
流动资产合计77,557,043,340.7066,012,394,648.78
非流动资产:
长期股权投资15,568,378,568.0815,911,304,527.87
其他权益工具投资681,630,000.00681,630,000.00
固定资产17,518,367,432.0018,282,163,718.91
在建工程546,437,512.04586,144,839.34
使用权资产65,971,266.98
无形资产2,946,491,055.753,166,081,547.59
开发支出654,152,078.23555,569,523.02
长期待摊费用9,131,889.887,470,626.86
递延所得税资产1,904,135,032.431,803,491,965.40
非流动资产合计39,894,694,835.3940,993,856,748.99
资产总计117,451,738,176.09107,006,251,397.77
流动负债:
短期借款510,000,000.00510,000,000.00
应付票据24,003,015,056.6014,600,240,612.86
应付账款18,528,961,362.6318,770,044,628.44
合同负债4,023,516,395.943,885,522,883.33
应付职工薪酬1,804,689,675.091,604,474,120.45
应交税费395,274,764.101,045,768,022.62
其他应付款3,478,459,800.033,166,636,684.63
一年内到期的非流动负债301,000,000.00100,000,000.00
其他流动负债5,804,606,576.645,235,294,795.79
流动负债合计58,849,523,631.0348,917,981,748.12
非流动负债:
长期借款654,300,000.00955,300,000.00
租赁负债62,699,737.43
长期应付款147,525,746.26187,142,303.66
长期应付职工薪酬18,953,292.9721,657,000.00
预计负债2,650,626,670.222,196,924,682.57
递延收益150,000,000.00150,000,000.00
递延所得税负债72,585,956.3875,158,651.38
非流动负债合计3,756,691,403.263,586,182,637.61
负债合计62,606,215,034.2952,504,164,385.73
所有者权益:
股本5,439,591,574.005,363,396,174.00
资本公积10,979,337,870.3010,440,896,902.52
其他综合收益159,954,052.00159,954,052.00
专项储备16,479,840.777,505,438.57
盈余公积2,681,698,087.002,681,698,087.00
未分配利润35,568,461,717.7335,848,636,357.95
所有者权益合计54,845,523,141.8054,502,087,012.04
负债和所有者权益总计117,451,738,176.09107,006,251,397.77

3、合并利润表

单位:元

项目本期发生额上期发生额
一、营业总收入56,784,631,899.0732,781,657,479.10
减:营业成本48,086,677,229.2129,578,074,559.16
税金及附加2,087,694,667.071,206,286,383.45
销售费用2,146,115,312.191,270,716,006.91
管理费用2,217,147,044.501,145,860,984.31
研发费用1,495,583,362.161,423,575,470.37
财务费用-233,776,490.65-98,218,545.38
其中:利息费用26,372,186.2920,373,153.36
利息收入281,294,223.92131,048,028.86
加:其他收益106,783,041.12
投资收益(损失以“-”号填列)327,872,465.083,000,803,663.99
其中:对联营企业和合营企业的投资收益250,708,951.37-528,282,156.89
公允价值变动收益(损失以“-”号填列)15,734,698.731,753,674,697.00
信用减值损失(损失以“-”号填列)-3,486,242.35-18,713,783.01
资产减值损失(损失以“-”号填列)-195,687,107.11-212,828,953.71
资产处置收益(损失以“-”号填列)601,066,861.3333,428,646.97
三、营业利润(亏损以“-”号填列)1,837,474,491.392,811,726,891.52
加:营业外收入40,983,845.9431,178,860.44
减:营业外支出14,103,602.2951,351,646.13
四、利润总额(亏损总额以“-”号填列)1,864,354,735.042,791,554,105.83
减:所得税费用59,373,446.09189,931,296.64
五、净利润(净亏损以“-”号填列)1,804,981,288.952,601,622,809.19
(一)按经营持续性分类
1.持续经营净利润(净亏损以“-”号填列)1,804,981,288.952,601,622,809.19
2.终止经营净利润(净亏损以“-”号填列)
(二)按所有权归属分类
1.归属于母公司所有者的净利润1,729,245,208.602,602,166,402.68
2.少数股东损益75,736,080.35-543,593.49
六、其他综合收益的税后净额21,820,284.636,766,939.37
归属母公司所有者的其他综合收益的税后净额21,820,284.636,766,939.37
(一)不能重分类进损益的其他综合收益
1.重新计量设定受益计划变动额
2.权益法下不能转损益的其他综合收益
3.其他权益工具投资公允价值变动
4.企业自身信用风险公允价值变动
5.其他
(二)将重分类进损益的其他综合收益21,820,284.636,766,939.37
1.权益法下可转损益的其他综合收益
2.其他债权投资公允价值变动
3.可供出售金融资产公允价值变动损益
4.金融资产重分类计入其他综合收益的金额
5.持有至到期投资重分类为可供出售金融资产损益
6.其他债权投资信用减值准备
7.现金流量套期储备
8.外币财务报表折算差额21,820,284.636,766,939.37
9.其他
归属于少数股东的其他综合收益的税后净额
七、综合收益总额1,826,801,573.582,608,389,748.56
归属于母公司所有者的综合收益总额1,751,065,493.232,608,933,342.05
归属于少数股东的综合收益总额75,736,080.35-543,593.49
八、每股收益:
(一)基本每股收益0.320.54
(二)稀释每股收益不适用不适用

4、母公司利润表

单位:元

项目本期发生额上期发生额
一、营业收入52,828,405,180.7229,758,919,897.37
减:营业成本45,513,544,394.5927,864,973,824.68
税金及附加1,525,114,802.32762,021,502.79
销售费用1,736,500,574.77961,038,581.56
管理费用1,878,247,754.81715,649,867.54
研发费用1,298,099,887.531,380,814,145.22
财务费用-204,613,231.91-98,135,764.79
其中:利息费用21,764,130.344,888,747.72
利息收入236,842,142.30110,304,548.86
加:其他收益
投资收益(损失以“-”号填列)428,119,303.942,317,139,772.66
其中:对联营企业和合营企业的投资收益349,815,853.13-430,245,711.08
公允价值变动收益(损失以“-”号填列)-17,151,300.00-21,300,000.00
信用减值损失(损失以“-”号填列)-2,086,388.91-16,528,225.28
资产减值损失(损失以“-”号填列)-213,509,747.87-167,332,499.89
资产处置收益(损失以“-”号填列)4,920,912.69-10,976,304.75
二、营业利润(亏损以“-”号填列)1,281,803,778.46273,560,483.11
加:营业外收入11,549,617.9622,925,521.70
减:营业外支出10,500,438.1343,916,807.17
三、利润总额(亏损总额以“-”号填列)1,282,852,958.29252,569,197.64
减:所得税费用-103,215,762.03-85,786,079.95
四、净利润(净亏损以“-”号填列)1,386,068,720.32338,355,277.59
(一)持续经营净利润(净亏损以“-”号填列)1,386,068,720.32338,355,277.59
(二)终止经营净利润(净亏损以“-”号填列)
五、其他综合收益的税后净额
(一)不能重分类进损益的其他综合收益
1.重新计量设定受益计划变动额
2.权益法下不能转损益的其他综合收益
3.其他权益工具投资公允价值变动
4.企业自身信用风险公允价值变动
5.其他
(二)将重分类进损益的其他综合收益
1.权益法下可转损益的其他综合收益
2.其他债权投资公允价值变动
3.可供出售金融资产公允价值变动损益
4.金融资产重分类计入其他综合收益的金额
5.持有至到期投资重分类为可供出售金融资产损益
6.其他债权投资信用减值准备
7.现金流量套期储备
8.外币财务报表折算差额
9.其他
六、综合收益总额1,386,068,720.32338,355,277.59
七、每股收益:
(一)基本每股收益0.250.07
(二)稀释每股收益不适用不适用

5、合并现金流量表

单位:元

项目本期发生额上期发生额
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63,916,698,589.7139,547,166,284.75
收到的税费返还479,978,596.74212,875,606.35
收到其他与经营活动有关的现金1,798,083,078.941,460,594,720.28
经营活动现金流入小计66,194,760,265.3941,220,636,611.38
购买商品、接受劳务支付的现金37,506,989,506.5026,823,061,336.77
支付给职工以及为职工支付的现金3,273,064,979.182,602,751,432.93
支付的各项税费4,360,350,113.071,774,453,965.05
支付其他与经营活动有关的现金3,355,528,796.273,107,783,183.03
经营活动现金流出小计48,495,933,395.0234,308,049,917.78
经营活动产生的现金流量净额17,698,826,870.376,912,586,693.60
二、投资活动产生的现金流量:
取得投资收益收到的现金10,806,875.0052,200,268.08
处置固定资产、无形资产和其他长期资产收回的现金净额47,111,653.8950,925,772.51
收到其他与投资活动有关的现金300,000,000.002,401,804.55
投资活动现金流入小计357,918,528.89105,527,845.14
购建固定资产、无形资产和其他长期资产支付的现金1,022,801,871.761,240,508,778.71
投资支付的现金1,000,000.0013,494,996.00
支付其他与投资活动有关的现金104,231,229.20
投资活动现金流出小计1,023,801,871.761,358,235,003.91
投资活动产生的现金流量净额-665,883,342.87-1,252,707,158.77
三、筹资活动产生的现金流量:
吸收投资收到的现金507,461,364.00-
取得借款收到的现金20,000,000.001,661,945,472.30
收到其他与筹资活动有关的现金312,220,372.75330,073,299.87
筹资活动现金流入小计839,681,736.751,992,018,772.17
偿还债务支付的现金146,000,000.0026,000,000.00
分配股利、利润或偿付利息支付的现金1,690,977,626.1114,711,837.52
支付其他与筹资活动有关的现金418,592,802.69141,928,386.47
筹资活动现金流出小计2,255,570,428.80182,640,223.99
筹资活动产生的现金流量净额-1,415,888,692.051,809,378,548.18
四、汇率变动对现金及现金等价物的影响-3,619,293.07-8,613,576.66
五、现金及现金等价物净增加额15,613,435,542.387,460,644,506.35
加:期初现金及现金等价物余额30,655,968,057.639,360,474,674.89
六、期末现金及现金等价物余额46,269,403,600.0116,821,119,181.24

6、母公司现金流量表

单位:元

项目本期发生额上期发生额
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55,145,607,987.1035,373,943,984.62
收到其他与经营活动有关的现金1,092,865,948.69307,884,774.24
经营活动现金流入小计56,238,473,935.7935,681,828,758.86
购买商品、接受劳务支付的现金31,953,727,307.5024,853,008,533.51
支付给职工以及为职工支付的现金2,404,181,310.341,869,061,222.17
支付的各项税费3,332,896,561.58745,408,673.77
支付其他与经营活动有关的现金2,779,051,429.051,991,778,401.18
经营活动现金流出小计40,469,856,608.4729,459,256,830.63
经营活动产生的现金流量净额15,768,617,327.326,222,571,928.23
二、投资活动产生的现金流量:
取得投资收益收到的现金12,015,208.3356,622,717.45
处置固定资产、无形资产和其他长期资产收回的现金净额7,594,323.8993,034.76
收到其他与投资活动有关的现金500,000,000.00
投资活动现金流入小计519,609,532.2256,715,752.21
购建固定资产、无形资产和其他长期资产支付的现金883,493,763.31992,736,013.34
投资支付的现金1,000,000.00186,108,581.00
投资活动现金流出小计884,493,763.311,178,844,594.34
投资活动产生的现金流量净额-364,884,231.09-1,122,128,842.13
三、筹资活动产生的现金流量:
吸收投资收到的现金507,461,364.00-
取得借款收到的现金1,500,000,000.00
筹资活动现金流入小计507,461,364.001,500,000,000.00
偿还债务支付的现金100,000,000.00
分配股利、利润或偿付利息支付的现金1,689,755,862.223,676,533.11
支付其他与筹资活动有关的现金31,241,289.74
筹资活动现金流出小计1,820,997,151.963,676,533.11
筹资活动产生的现金流量净额-1,313,535,787.961,496,323,466.89
四、汇率变动对现金及现金等价物的影响
五、现金及现金等价物净增加额14,090,197,308.276,596,766,552.99
加:期初现金及现金等价物余额25,190,870,784.066,563,020,335.56
六、期末现金及现金等价物余额39,281,068,092.3313,159,786,888.55

7、合并所有者权益变动表

编制单位:重庆长安汽车股份有限公司 单位:元

项目本期金额
归属于母公司所有者权益少数股东权益所有者权益合计
股本资本公积减:库存股专项盈余公积一般风险准备未分配利润其他综合收益
储备
一、上年年末余额5,363,396,174.0010,930,781,918.6440,847,443.412,681,698,087.0034,315,048,892.2678,420,720.7870,114,229.6653,480,307,465.75
二、本年年初余额5,363,396,174.0010,930,781,918.6440,847,443.412,681,698,087.0034,315,048,892.2678,420,720.7870,114,229.6653,480,307,465.75
三、本期增减变动金额(减少以“-”号填列)76,195,400.00538,440,967.7836,025,649.0563,001,848.0621,820,284.6375,736,080.35811,220,229.87
(一)综合收益总额1,729,245,208.6021,820,284.6375,736,080.351,826,801,573.58
(二)所有者投入和减少资本76,195,400.00538,440,967.78614,636,367.78
1.股份支付计入所有者权益的金额76,195,400.00538,440,967.78614,636,367.78
(三)利润分配-1,666,243,360.54-1,666,243,360.54
对所有者(或股东)的分配-1,666,243,360.54-1,666,243,360.54
(四)专项储备36,025,649.0536,025,649.05
1.本期提取61,973,559.9961,973,559.99
2.本期使用-25,947,910.94-25,947,910.94
四、本期期末余额5,439,591,574.0011,469,222,886.4276,873,092.462,681,698,087.0034,378,050,740.32100,241,005.41145,850,310.0154,291,527,695.62

单位:元

项目上期金额
归属于母公司所有者权益少数股东权益所有者权益合计
股本资本公积减:库存股专项 储备盈余公积一般风险准备未分配利润其他综合收益
一、上年年末余额4,802,648,511.005,366,097,594.6647,076,242.712,401,324,255.5031,271,171,559.60139,994,580.19-94,241,765.2143,934,070,978.45
二、本年年初余额4,802,648,511.005,366,097,594.6647,076,242.712,401,324,255.5031,271,171,559.60139,994,580.19-94,241,765.2143,934,070,978.45
三、本期增减变动金额(减少以“-”号填列)31,323,255.072,602,166,402.686,766,939.37-543,593.492,639,713,003.63
(一)综合收益总额2,602,166,402.686,766,939.37-543,593.492,608,389,748.56
(二)所有者投入和减少资本
(三)利润分配
(四)专项储备31,323,255.0731,323,255.07
1.本期提取58,125,436.0558,125,436.05
2.本期使用-26,802,180.98-26,802,180.98
四、本期期末余额4,802,648,511.005,366,097,594.6678,399,497.782,401,324,255.5033,873,337,962.28146,761,519.56-94,785,358.7046,573,783,982.08

8、母公司所有者权益变动表

编制单位:重庆长安汽车股份有限公司

单位:元

项目本期金额
股本资本公积减:库存股专项储备盈余公积未分配利润其他综合收益所有者权益合计
一、上年年末余额5,363,396,174.0010,440,896,902.527,505,438.572,681,698,087.0035,848,636,357.95159,954,052.0054,502,087,012.04
二、本年年初余额5,363,396,174.0010,440,896,902.527,505,438.572,681,698,087.0035,848,636,357.95159,954,052.0054,502,087,012.04
三、本期增减变动金额(减少以“-”号填列)76,195,400.00538,440,967.788,974,402.20-280,174,640.22343,436,129.76
(一)综合收益总额1,386,068,720.321,386,068,720.32
(二)所有者投入和减少资本76,195,400.00538,440,967.78614,636,367.78
股份支付计入所有者权益的金额76,195,400.00538,440,967.78614,636,367.78
(三)利润分配-1,666,243,360.54-1,666,243,360.54
对所有者(或股东)的分配-1,666,243,360.54-1,666,243,360.54
(四)专项储备8,974,402.208,974,402.20
1.本期提取26,035,435.8026,035,435.80
2.本期使用-17,061,033.60-17,061,033.60
四、本期期末余额5,439,591,574.0010,979,337,870.3016,479,840.772,681,698,087.0035,568,461,717.73159,954,052.0054,845,523,141.80

单位:元

项目上期金额
股本资本公积减:库存股专项储备盈余公积未分配利润其他综合收益所有者权益合计
一、上年年末余额4,802,648,511.005,014,772,792.8719,917,658.632,401,324,255.5031,852,751,052.34259,380,413.5844,350,794,683.92
加:其他-354,897,932.62-354,897,932.62
二、本年年初余额4,802,648,511.005,014,772,792.8719,917,658.632,401,324,255.5031,497,853,119.72259,380,413.5843,995,896,751.30
三、本期增减变动金额(减少以“-”号填列)1,785,128.50338,355,277.59340,140,406.09
(一)综合收益总额338,355,277.59338,355,277.59
(二)所有者投入和减少资本
(三)利润分配
(四)专项储备1,785,128.501,785,128.50
1.本期提取23,380,155.3623,380,155.36
2.本期使用-21,595,026.86-21,595,026.86
四、本期期末余额4,802,648,511.005,014,772,792.8721,702,787.132,401,324,255.5031,836,208,397.31259,380,413.5844,336,037,157.39

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