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长安汽车:半年报财务报表 下载公告
公告日期:2024-08-31

2024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

项目期末余额期初余额
流动资产:
货币资金70,939,136,071.2464,871,042,747.88
交易性金融资产152,668,417.66167,519,347.29
应收票据33,995,528,463.1537,658,391,214.01
应收账款2,989,231,105.412,411,796,419.07
预付款项582,581,159.41287,711,010.62
其他应收款455,008,697.40894,268,431.82
其中:应收股利22,469,320.00
存货13,792,862,498.9413,465,847,696.93
合同资产822,694,699.901,442,876,966.30
其他流动资产2,234,734,568.609,735,453,361.32
流动资产合计125,964,445,681.71130,934,907,195.24
非流动资产:
长期股权投资14,109,162,499.1813,787,391,985.47
其他权益工具投资504,190,082.71504,190,082.71
投资性房地产6,082,647.706,196,003.48
固定资产19,515,251,831.2519,994,084,908.14
在建工程2,294,576,852.631,914,345,359.83
使用权资产217,698,854.98209,480,676.04
无形资产14,317,477,866.8215,045,563,649.79
开发支出3,295,839,663.042,241,820,556.70
商誉1,810,730,443.161,810,730,443.16
长期待摊费用21,185,944.4124,162,220.06
递延所得税资产3,410,080,327.143,248,254,057.65
其他非流动资产1,854,972,231.98450,000,000.00
非流动资产合计61,357,249,245.0059,236,219,943.03
资产总计187,321,694,926.71190,171,127,138.27
流动负债:
短期借款54,056,333.4030,039,416.74
交易性金融负债12,941,513.71-
应付票据40,811,542,603.7437,456,669,928.07
应付账款34,274,539,923.5838,289,947,321.45
预收款项686,755.00

合同负债

合同负债5,996,592,698.427,923,792,852.77
应付职工薪酬3,570,705,685.962,750,661,337.26
应交税费865,791,188.251,928,723,907.38
其他应付款5,307,800,744.025,880,882,512.97
一年内到期的非流动负债123,760,356.8780,077,042.88
其他流动负债9,158,544,800.548,897,936,399.92
流动负债合计100,176,275,848.49103,239,417,474.44
非流动负债:
长期借款36,000,000.0072,000,000.00
应付债券999,656,603.76999,607,547.16
租赁负债124,713,350.60134,254,398.07
长期应付款957,892,237.43952,446,118.57
长期应付职工薪酬27,195,616.4930,414,000.00
预计负债7,004,273,980.796,277,041,416.79
递延收益676,551,823.49718,840,543.52
递延所得税负债1,585,558,534.511,566,074,982.00
其他非流动负债1,719,954,719.901,497,773,818.69
非流动负债合计13,131,796,866.9712,248,452,824.80
负债合计113,308,072,715.46115,487,870,299.24
所有者权益:
股本9,917,289,033.009,917,289,033.00
资本公积8,443,323,719.708,251,287,637.70
减:库存股228,624,172.79382,277,095.96
其他综合收益200,717,168.37118,318,784.04
专项储备94,130,498.9954,323,330.34
盈余公积4,276,245,864.644,276,245,864.64
未分配利润49,037,197,880.3749,617,932,431.73
归属于母公司所有者权益合计71,740,279,992.2871,853,119,985.49
少数股东权益2,273,342,218.972,830,136,853.54
所有者权益合计74,013,622,211.2574,683,256,839.03
负债和所有者权益总计187,321,694,926.71190,171,127,138.27

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:施海峰

2、母公司资产负债表

单位:元

项目期末余额期初余额
流动资产:
货币资金43,872,608,287.0744,029,520,088.62
交易性金融资产152,668,417.66160,744,733.27
应收票据29,239,357,023.7933,788,748,503.90
应收账款13,256,145,398.518,579,504,025.23

预付款项

预付款项248,679,818.62112,547,088.73
其他应收款461,694,766.87237,247,787.26
其中:应收股利22,469,320.00-
存货4,642,954,960.305,615,873,258.35
合同资产85,341,261.61128,498,871.61
其他流动资产224,524,115.715,522,797,370.57
流动资产合计92,183,974,050.1498,175,481,727.54
非流动资产:
长期股权投资19,784,344,631.7819,435,450,021.37
其他权益工具投资504,190,082.71504,190,082.71
固定资产13,319,877,774.1813,453,515,476.81
在建工程1,544,281,630.521,407,521,918.44
使用权资产127,846,115.74168,093,468.85
无形资产3,274,175,149.923,312,017,680.07
开发支出2,531,535,772.052,017,011,508.06
长期待摊费用18,777,059.3421,709,036.17
递延所得税资产2,825,475,532.512,774,652,958.37
其他非流动资产1,850,000,000.00450,000,000.00
非流动资产合计45,780,503,748.7543,544,162,150.85
资产总计137,964,477,798.89141,719,643,878.39
流动负债:
应付票据27,067,980,763.0725,950,782,831.24
应付账款22,070,303,341.9523,842,258,668.42
合同负债2,949,612,898.964,606,921,633.17
应付职工薪酬2,560,749,341.581,919,102,689.66
应交税费224,754,037.011,300,178,990.13
其他应付款2,871,795,581.743,236,371,408.79
一年内到期的非流动负债85,324,798.9856,170,742.39
其他流动负债6,241,141,829.116,286,218,965.50
流动负债合计64,071,662,592.4067,198,005,929.30
非流动负债:
长期借款36,000,000.0072,000,000.00
应付债券999,656,603.76999,607,547.16
租赁负债79,310,093.24117,490,288.82
长期应付款115,900,337.55120,081,551.85
长期应付职工薪酬14,676,656.7917,659,000.00
预计负债4,623,843,903.174,402,025,046.54
递延收益563,864,707.05603,864,707.08
递延所得税负债195,239,883.03197,625,245.62
其他非流动负债1,503,921,144.121,287,646,146.69
非流动负债合计8,132,413,328.717,817,999,533.76
负债合计72,204,075,921.1175,016,005,463.06

所有者权益:

所有者权益:
股本9,917,289,033.009,917,289,033.00
资本公积8,590,735,699.468,406,226,198.82
减:库存股228,624,172.79382,277,095.96
其他综合收益168,865,473.51169,049,829.02
专项储备42,073,086.4919,514,786.95
盈余公积4,276,245,864.644,276,245,864.64
未分配利润42,993,816,893.4744,297,589,798.86
所有者权益合计65,760,401,877.7866,703,638,415.33
负债和所有者权益总计137,964,477,798.89141,719,643,878.39

3、合并利润表

单位:元

项目2024年半年度2023年半年度
一、营业总收入76,722,649,723.7965,492,098,869.01
减:营业成本66,134,307,155.1254,790,036,298.76
税金及附加2,053,229,071.412,186,174,248.99
销售费用3,077,988,414.272,280,397,591.19
管理费用2,426,863,860.792,271,960,408.55
研发费用2,912,092,313.402,964,604,104.48
财务费用(549,385,364.01)(453,268,104.89)
其中:利息费用39,521,477.4436,814,471.44
利息收入520,495,393.22532,594,819.89
加:其他收益1,442,510,651.32657,988,649.18
投资收益(损失以“—”号填列)350,711,425.335,023,108,819.32
其中:对联营企业和合营企业的投资收益252,582,688.73(180,436,966.53)
公允价值变动收益(损失以“—”号填列)(35,024,179.42)(23,334,661.15)
信用减值损失(损失以“—”号填列)759,129.40(15,513,488.10)
资产减值损失(损失以“—”号填列)(146,269,535.60)(397,274,160.99)
资产处置收益(损失以“—”号填列)4,959,452.69366,667,730.28
二、营业利润(亏损以“—”号填列)2,285,201,216.537,063,837,210.47
加:营业外收入46,291,779.6993,295,575.81
减:营业外支出19,101,827.7513,498,961.02
三、利润总额(亏损总额以“—”号填列)2,312,391,168.477,143,633,825.26
减:所得税费用65,628,900.78176,620,825.19
四、净利润(净亏损以“—”号填列)2,246,762,267.696,967,013,000.07
(一)按经营持续性分类
1.持续经营净利润(净亏损以“—”号填列)2,246,762,267.696,967,013,000.07
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.归属于母公司股东的净利润(净亏损以“—”号填列)2,831,743,111.827,652,979,346.80

2.少数股东损益(净亏损以“—”号填列)

2.少数股东损益(净亏损以“—”号填列)(584,980,844.13)(685,966,346.73)
五、其他综合收益的税后净额82,398,384.3347,734,187.34
归属母公司所有者的其他综合收益的税后净额82,398,384.3347,734,187.34
(一)不能重分类进损益的其他综合收益2.89
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2.89
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82,398,381.4447,734,187.34
1.权益法下可转损益的其他综合收益(184,358.40)
2.其他债权投资公允价值变动
3.金融资产重分类计入其他综合收益的金额
4.其他债权投资信用减值准备
5.现金流量套期储备
6.外币财务报表折算差额82,582,739.8447,734,187.34
7.其他
归属于少数股东的其他综合收益的税后净额
六、综合收益总额2,329,160,652.027,014,747,187.41
归属于母公司所有者的综合收益总额2,914,141,496.157,700,713,534.14
归属于少数股东的综合收益总额(584,980,844.13)(685,966,346.73)
七、每股收益:
(一)基本每股收益0.290.78
(二)稀释每股收益0.280.76

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:施海峰

4、母公司利润表

单位:元

项目2024年半年度2023年半年度
一、营业收入54,820,842,795.8754,376,375,197.21
减:营业成本49,023,998,757.6846,041,110,508.89
税金及附加1,250,733,898.431,453,554,280.40
销售费用929,133,285.59869,903,070.69
管理费用1,732,583,485.141,686,722,665.70
研发费用1,968,586,574.982,538,873,301.65
财务费用-333,400,647.01-368,021,413.76
其中:利息费用19,451,693.9122,584,078.19
利息收入362,660,793.06399,510,519.70
加:其他收益1,224,353,991.64657,920,000.00
投资收益(损失以“—”号填列)650,013,874.65585,161,578.54
其中:对联营企业和合营企业的投资收益279,687,665.28-141,552,078.57
公允价值变动收益(损失以“—”号填列)-8,076,315.6132,897,781.54

信用减值损失(损失以“—”号填列)

信用减值损失(损失以“—”号填列)1,991,215.03949,935.35
资产减值损失(损失以“—”号填列)-61,110,316.71-288,325,731.15
资产处置收益(损失以“—”号填列)2,326,113.93365,125,023.58
二、营业利润(亏损以“—”号填列)2,058,706,003.993,507,961,371.50
加:营业外收入27,829,161.8981,107,919.29
减:营业外支出11,262,143.5811,520,621.79
三、利润总额(亏损总额以“—”号填列)2,075,273,022.303,577,548,669.00
减:所得税费用-33,431,735.49173,767,038.35
四、净利润(净亏损以“—”号填列)2,108,704,757.793,403,781,630.65
(一)持续经营净利润(净亏损以“—”号填列)2,108,704,757.793,403,781,630.65
(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-184,355.51
六、综合收益总额2,108,520,402.283,403,781,630.65

5、合并现金流量表

单位:元

项目2024年半年度2023年半年度
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87,402,094,857.9573,931,703,144.09
收到的税费返还2,283,448,047.921,199,246,444.10
收到其他与经营活动有关的现金2,197,893,615.371,753,218,395.89
经营活动现金流入小计91,883,436,521.2476,884,167,984.08
购买商品、接受劳务支付的现金72,075,595,167.3655,650,532,027.02
支付给职工以及为职工支付的现金5,227,942,331.334,415,366,034.62
支付的各项税费6,484,391,928.945,442,991,004.83
支付其他与经营活动有关的现金4,660,406,353.084,419,822,204.02
经营活动现金流出小计88,448,335,780.7169,928,711,270.49
经营活动产生的现金流量净额3,435,100,740.536,955,456,713.59
二、投资活动产生的现金流量:
取得投资收益收到的现金1,431,899.951,406,842.07
处置固定资产、无形资产和其他长期资产收回的现金净额270,398,351.7135,915,330.45
收到其他与投资活动有关的现金8,070,357,180.566,216,944,276.29
投资活动现金流入小计8,342,187,432.226,254,266,448.81
购建固定资产、无形资产和其他长期资产支付的现金1,198,526,301.30857,592,457.14
投资支付的现金68,253,846.00137,000,000.00
支付其他与投资活动有关的现金1,400,000,000.00
投资活动现金流出小计2,666,780,147.30994,592,457.14
投资活动产生的现金流量净额5,675,407,284.925,259,673,991.67
三、筹资活动产生的现金流量:
吸收投资收到的现金30,957,178.3835,190,000.00
取得借款收到的现金34,000,000.0090,000,000.00
收到其他与筹资活动有关的现金234,346,997.19362,339,945.61

筹资活动现金流入小计

筹资活动现金流入小计299,304,175.57487,529,945.61
偿还债务支付的现金10,000,000.00629,000,000.00
分配股利、利润或偿付利息支付的现金3,416,455,425.296,163,524.40
支付其他与筹资活动有关的现金181,013,652.58418,524,690.02
筹资活动现金流出小计3,607,469,077.871,053,688,214.42
筹资活动产生的现金流量净额(3,308,164,902.30)(566,158,268.81)
四、汇率变动对现金及现金等价物的影响(178,545,254.43)13,258,565.35
五、现金及现金等价物净增加额5,623,797,868.7211,662,231,001.80
加:期初现金及现金等价物余额63,925,957,901.1152,491,435,047.74
六、期末现金及现金等价物余额69,549,755,769.8364,153,666,049.54

6、母公司现金流量表

单位:元

项目2024年半年度2023年半年度
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57,231,280,855.8157,757,311,678.85
收到的税费返还727,850.0030,303,650.49
收到其他与经营活动有关的现金1,380,231,417.171,828,991,752.50
经营活动现金流入小计58,612,240,122.9859,616,607,081.84
购买商品、接受劳务支付的现金49,289,218,463.8243,276,597,110.68
支付给职工以及为职工支付的现金3,276,956,936.682,826,100,179.04
支付的各项税费2,785,805,002.923,421,770,360.23
支付其他与经营活动有关的现金3,011,019,964.462,844,007,616.91
经营活动现金流出小计58,363,000,367.8852,368,475,266.86
经营活动产生的现金流量净额249,239,755.107,248,131,814.98
二、投资活动产生的现金流量:
取得投资收益收到的现金298,979,999.951,556,842.07
处置固定资产、无形资产和其他长期资产收回的现金净额12,748,015.598,857,134.39
收到其他与投资活动有关的现金5,550,500,000.00
投资活动现金流入小计5,862,228,015.5410,413,976.46
购建固定资产、无形资产和其他长期资产支付的现金1,020,364,923.37723,218,813.52
投资支付的现金308,253,846.001,069,135,009.18
支付其他与投资活动有关的现金1,490,000,000.00
投资活动现金流出小计2,818,618,769.371,792,353,822.70
投资活动产生的现金流量净额3,043,609,246.17(1,781,939,846.24)
三、筹资活动产生的现金流量:
取得借款收到的现金40,000,000.00
筹资活动现金流入小计40,000,000.00
偿还债务支付的现金600,000,000.00
分配股利、利润或偿付利息支付的现金3,412,863,996.513,470,000.00
支付其他与筹资活动有关的现金40,217,966.7332,666,733.27
筹资活动现金流出小计3,453,081,963.24636,136,733.27

筹资活动产生的现金流量净额

筹资活动产生的现金流量净额(3,453,081,963.24)(596,136,733.27)
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(160,232,961.97)4,870,055,235.47
加:期初现金及现金等价物余额44,023,772,482.1444,732,418,327.28
六、期末现金及现金等价物余额43,863,539,520.1749,602,473,562.75

7、合并所有者权益变动表

本期金额

单位:元

项目2024年半年度
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9,917,289,033.008,251,287,637.70382,277,095.96118,318,784.0454,323,330.344,276,245,864.6449,617,932,431.732,830,136,853.5474,683,256,839.03
二、本年期初余额9,917,289,033.008,251,287,637.70382,277,095.96118,318,784.0454,323,330.344,276,245,864.6449,617,932,431.732,830,136,853.5474,683,256,839.03
三、本期增减变动金额(减少以“—”号填列)192,036,082.00(153,652,923.17)82,398,384.3339,807,168.65(580,734,551.36)(556,794,634.57)(669,634,627.78)
(一)综合收益总额82,398,384.332,831,743,111.82(584,980,844.13)2,329,160,652.02
(二)所有者投入和减少资本192,036,082.00(132,685,226.16)23,433,418.96348,154,727.12
1.所有者投入的普通股30,960,000.0030,960,000.00
2.股份支付计入所有者权益的金额181,288,200.00181,288,200.00
3.其他10,747,882.00(132,685,226.16)(7,526,581.04)135,906,527.12
(三)利润分配(20,967,697.01)(3,412,477,663.18)(3,391,509,966.17)
1.对所有者(或股东)的分配(20,967,697.01)(3,412,477,663.18)(3,391,509,966.17)
(四)所有者权益内部结转
(五)专项储备39,807,168.654,752,790.6044,559,959.25
1.本期提取63,437,107.755,888,705.9969,325,813.74
2.本期使用(23,629,939.10)(1,135,915.39)(24,765,854.49)
(六)其他
四、本期期末余额9,917,289,033.008,443,323,719.70228,624,172.79200,717,168.3794,130,498.994,276,245,864.6449,037,197,880.372,273,342,218.9774,013,622,211.25

上年金额

单位:元

项目2023年半年度
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9,921,799,422.008,532,806,685.77627,060,416.5298,841,615.4224,090,898.053,528,137,635.5341,379,489,865.4590,698,855.7962,948,804,561.49
二、本年期初余额9,921,799,422.008,532,806,685.77627,060,416.5298,841,615.4224,090,898.053,528,137,635.5341,379,489,865.4590,698,855.7962,948,804,561.49
三、本期增减变动金额(减少以“-”号填列)(2,476,422.00)(477,465,238.31)(184,193,941.80)47,734,187.3429,475,687.525,311,564,478.683,888,515,629.878,981,542,264.90
(一)综合收益总额47,734,187.347,652,979,346.80(685,966,346.73)7,014,747,187.41
(二)所有者投入和减少资本(2,476,422.00)(477,465,238.31)(157,449,592.97)(322,492,067.34)
1.所有者投入的普通股
2.股份支付计入所有者权益的金额187,899,000.00187,899,000.00
3. 其他(2,476,422.00)(665,364,238.31)(157,449,592.97)(510,391,067.34)
(三)利润分配(26,744,348.83)(2,341,414,868.12)(150,000.00)(2,314,820,519.29)
1.对所有者(或股东)的分配(26,744,348.83)(2,341,414,868.12)(150,000.00)(2,314,820,519.29)
2. 其他
(四)所有者权益内部结转
(五)专项储备29,475,687.5229,475,687.52
1.本期提取64,708,453.3064,708,453.30
2.本期使用(35,232,765.78)(35,232,765.78)
(六)其他4,574,631,976.604,574,631,976.60
四、本期期末余额9,919,323,000.008,055,341,447.46442,866,474.72146,575,802.7653,566,585.573,528,137,635.5346,691,054,344.133,979,214,485.6671,930,346,826.39

8、母公司所有者权益变动表

本期金额

单位:元

项目2024年半年度
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所有者权益合计
一、上年期末余额9,917,289,033.008,406,226,198.82382,277,095.96169,049,829.0219,514,786.954,276,245,864.6444,297,589,798.8666,703,638,415.33
二、本年期初余额9,917,289,033.008,406,226,198.82382,277,095.96169,049,829.0219,514,786.954,276,245,864.6444,297,589,798.8666,703,638,415.33
三、本期增减变动金额(减少以“—”号填列)184,509,500.64(153,652,923.17)(184,355.51)22,558,299.54(1,303,772,905.39)(943,236,537.55)
(一)综合收益总额(184,355.51)2,108,704,757.792,108,520,402.28
(二)所有者投入和减少资本184,509,500.64(132,685,226.16)317,194,726.80
1.股份支付计入所有者权益的金额181,288,200.00181,288,200.00
2.其他3,221,300.64(132,685,226.16)135,906,526.80
(三)利润分配(20,967,697.01)(3,412,477,663.18)(3,391,509,966.17)
1.对所有者(或股东)的分配(20,967,697.01)(3,412,477,663.18)(3,391,509,966.17)
(四)所有者权益内部结转
(五)专项储备22,558,299.5422,558,299.54
1.本期提取36,217,694.1036,217,694.10
2.本期使用(13,659,394.56)(13,659,394.56)
(六)其他
四、本期期末余额9,917,289,033.008,590,735,699.46228,624,172.79168,865,473.5142,073,086.494,276,245,864.6442,993,816,893.4765,760,401,877.78

上年金额

单位:元

项目2023年半年度
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所有者权益合计
一、上年期末余额9,921,799,422.008,047,195,325.61627,060,416.52157,416,810.6310,285,640.793,528,137,635.5339,906,030,604.9160,943,805,022.95
二、本年期初余额9,921,799,422.008,047,195,325.61627,060,416.52157,416,810.6310,285,640.793,528,137,635.5339,906,030,604.9160,943,805,022.95
三、本期增减变动金额(减少以“—”号填列)(2,476,422.00)180,705,090.69(184,193,941.80)13,850,533.061,062,366,762.531,438,639,906.08
(一)综合收益总额3,403,781,630.653,403,781,630.65
(二)所有者投入和减少资本(2,476,422.00)180,705,090.69(157,449,592.97)335,678,261.66
1.股份支付计入所有者权益的金额187,899,000.00187,899,000.00
2.其他(2,476,422.00)(7,193,909.31)(157,449,592.97)147,779,261.66
(三)利润分配(26,744,348.83)(2,341,414,868.12)(2,314,670,519.29)
1.对所有者(或股东)的分配(26,744,348.83)(2,341,414,868.12)(2,314,670,519.29)
(四)所有者权益内部结转
(五)专项储备13,850,533.0613,850,533.06
1.本期提取32,871,513.6632,871,513.66
2.本期使用(19,020,980.60)(19,020,980.60)
(六)其他
四、本期期末余额9,919,323,000.008,227,900,416.30442,866,474.72157,416,810.6324,136,173.853,528,137,635.5340,968,397,367.4462,382,444,929.03

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