宁沪高速

- 600377

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昨收盘:- 今开盘:- 最高价:- 最低价:-
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历年数据:  2024  2023  2022  2021  2020  2019  2018  2017  2016  2015  2014 
宁沪高速(600377) 资产负债表
单位:万元
报表日期2022-12-312022-09-302022-06-302022-03-31
流动资产
货币资金93,293.1381,002.9159,339.2848,833.65
交易性金融资产347,462.01279,257.26434,698.54311,897.12
衍生金融资产--------
应收票据及应收账款112,862.00104,871.0051,356.5228,811.57
应收票据95.00240.001,050.001,594.00
应收账款112,767.00104,631.0050,306.5227,217.57
应收款项融资--------
预付款项773.732,791.292,254.753,329.07
其他应收款(合计)6,275.8912,262.7611,768.308,107.32
应收利息--------
应收股利499.003,918.013,918.01499.00
其他应收款5,776.89--7,850.29--
买入返售金融资产--------
存货258,501.81361,774.33375,265.47372,287.56
划分为持有待售的资产--------
一年内到期的非流动资产6,200.00------
待摊费用--------
待处理流动资产损益--------
其他流动资产113,211.8996,708.4292,399.9277,354.93
流动资产合计938,580.47938,667.951,027,082.77850,621.21
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--------
长期应收款11,190.46------
长期股权投资1,108,999.001,071,714.74993,545.12979,323.80
投资性房地产30,880.1218,611.219,822.289,912.36
在建工程(合计)18,869.7437,257.2928,898.4128,167.94
在建工程18,869.74--28,898.41--
工程物资--------
固定资产及清理(合计)804,597.88722,638.55254,279.20261,435.46
固定资产净额804,597.88--254,257.29--
固定资产清理----21.91--
生产性生物资产--------
公益性生物资产--------
油气资产--------
使用权资产2,947.113,297.761,310.501,487.67
无形资产3,916,090.173,820,837.353,679,123.413,689,213.01
开发支出--------
商誉--------
长期待摊费用1,831.06328.18297.47215.77
递延所得税资产18,331.4217,175.7517,448.2817,568.69
其他非流动资产6,836.6936,544.151,481.5146,977.18
非流动资产合计6,907,254.036,729,026.665,979,653.636,012,297.11
资产总计7,845,834.517,667,694.617,006,736.406,862,918.32
流动负债
短期借款243,412.41202,100.02143,520.86146,848.79
交易性金融负债--------
应付票据及应付账款317,944.15295,388.52225,082.26206,438.96
应付票据36,600.0027,490.0021,120.0012,840.00
应付账款281,344.15267,898.52203,962.26193,598.96
预收款项1,514.881,311.221,525.891,841.94
应付手续费及佣金--------
应付职工薪酬711.45446.64381.80371.98
应交税费38,302.3745,636.6935,377.7140,840.77
其他应付款(合计)28,804.24153,007.47259,816.1827,231.15
应付利息--------
应付股利10,455.7512,309.49241,242.649,554.34
其他应付款18,348.49--18,573.54--
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181,520.86104,468.55109,820.0068,755.76
其他流动负债535,972.81702,699.60772,178.04712,555.14
流动负债合计1,364,476.061,518,540.331,574,548.511,229,662.33
非流动负债
长期借款1,605,359.741,536,537.991,125,407.531,302,782.38
应付债券997,233.75797,845.52677,759.78577,887.83
租赁负债2,030.032,694.55761.96751.13
长期应付职工薪酬--------
长期应付款(合计)7,140.507,300.34----
长期应付款--------
专项应付款--------
预计非流动负债--------
递延所得税负债67,175.1571,330.4768,423.9963,816.36
长期递延收益7,386.099,194.639,458.779,699.86
其他非流动负债--445.10----
非流动负债合计2,686,325.262,425,348.601,881,812.031,954,937.56
负债合计4,050,801.323,943,888.933,456,360.553,184,599.89
所有者权益
实收资本(或股本)503,774.75503,774.75503,774.75503,774.75
资本公积977,640.94977,688.271,050,292.561,050,292.56
减:库存股--------
其他综合收益175,288.21180,290.02167,221.37157,523.97
专项储备57.75105.24----
盈余公积401,959.31383,411.06383,236.21383,236.21
一般风险准备973.77795.69734.72584.39
未分配利润1,134,386.051,090,050.09934,954.151,071,537.04
归属于母公司股东权益合计3,194,080.773,136,115.113,040,213.773,166,948.93
少数股东权益600,952.42587,690.57510,162.09511,369.50
所有者权益(或股东权益)合计3,795,033.193,723,805.683,550,375.853,678,318.44
负债和所有者权益(或股东权益)总计7,845,834.517,667,694.617,006,736.406,862,918.32
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