苏盐井神

- 603299

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昨收盘:- 今开盘:- 最高价:- 最低价:-
市值:-亿元 流通:- 成交:-手 换手:-
历年数据:  2023  2022  2021  2020  2019  2018  2017  2016  2015  2014 
苏盐井神(603299) 资产负债表
单位:万元
报表日期2023-09-302023-06-302023-03-312022-12-312022-09-30
流动资产
货币资金351,812.13295,011.89279,813.13228,070.12266,938.19
交易性金融资产15,008.9064,001.1875,508.9078,488.4871,000.00
衍生金融资产----------
应收票据及应收账款33,287.3134,382.1033,073.7120,437.2633,486.85
应收票据----------
应收账款33,287.3134,382.1033,073.7120,437.2633,486.85
应收款项融资53,306.0154,083.7373,614.7190,491.7197,392.24
预付款项5,229.683,741.585,015.023,618.485,017.09
其他应收款(合计)3,945.851,882.822,900.851,964.505,775.83
应收利息----------
应收股利----------
其他应收款--1,882.82--1,964.50--
买入返售金融资产----------
存货62,237.6163,770.1271,565.5964,473.6666,418.97
划分为持有待售的资产3,529.483,529.483,529.483,529.483,529.48
一年内到期的非流动资产----------
待摊费用----------
待处理流动资产损益----------
其他流动资产6,800.083,476.731,651.121,663.781,382.63
流动资产合计535,157.04523,879.61546,672.51492,737.46550,941.29
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----------
长期股权投资----------
投资性房地产20,990.8821,295.5221,661.2020,698.3420,079.57
在建工程(合计)89,515.5676,433.4854,179.8144,135.1674,111.49
在建工程--76,433.48--44,135.16--
工程物资----------
固定资产及清理(合计)312,853.90320,533.44323,309.32331,595.50304,169.13
固定资产净额--320,530.68--331,592.74--
固定资产清理--2.76--2.76--
生产性生物资产----------
公益性生物资产----------
油气资产----------
使用权资产2,926.513,098.193,187.953,266.002,620.11
无形资产63,931.4064,439.8863,955.4163,885.1659,952.87
开发支出----------
商誉----------
长期待摊费用974.07989.44967.75938.411,294.62
递延所得税资产9,980.179,963.529,159.988,233.497,926.55
其他非流动资产6,257.858,757.856,449.856,449.85--
非流动资产合计507,666.53505,747.52483,144.17479,438.11470,410.67
资产总计1,042,823.581,029,627.141,029,816.67972,175.571,021,351.96
流动负债
短期借款45,087.1355,032.9780,057.2971,248.37129,081.85
交易性金融负债----------
应付票据及应付账款138,620.97159,845.33131,685.56119,254.66169,744.15
应付票据39,058.4350,483.4632,323.4028,807.9987,152.91
应付账款99,562.54109,361.8699,362.1690,446.6882,591.24
预收款项1,128.70981.24920.381,476.923,510.07
应付手续费及佣金----------
应付职工薪酬8,075.604,470.773,565.169,090.455,136.53
应交税费10,073.538,370.3711,283.739,682.0610,187.46
其他应付款(合计)52,392.4137,359.0135,705.9129,338.2132,957.24
应付利息----------
应付股利401.00401.00401.00401.00401.00
其他应付款--36,958.02--28,937.21--
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53,961.9924,010.5530,225.178,929.6612,530.12
其他流动负债10,700.719,661.5310,044.5010,241.5310,585.19
流动负债合计338,197.63308,434.93315,450.47271,655.11382,609.96
非流动负债
长期借款133,470.00164,390.00150,040.00158,450.00110,000.00
应付债券----------
租赁负债2,772.583,084.333,075.862,974.522,474.41
长期应付职工薪酬----------
长期应付款(合计)----------
长期应付款----------
专项应付款----------
预计非流动负债998.04998.04998.04998.04998.04
递延所得税负债69.9869.9869.9869.98--
长期递延收益3,536.353,765.163,906.233,368.663,390.50
其他非流动负债----------
非流动负债合计140,846.95172,307.50158,090.11165,861.20116,862.95
负债合计479,044.58480,742.43473,540.57437,516.31499,472.92
所有者权益
实收资本(或股本)78,208.8978,220.8978,220.8978,220.8978,314.85
资本公积171,300.67170,984.89170,262.37170,262.37168,639.70
减:库存股5,750.865,808.345,808.345,808.34--
其他综合收益33.8733.87-10.13-21.72-197.12
专项储备5,149.454,820.314,313.333,575.515,426.93
盈余公积20,861.8620,861.8620,861.8620,861.8614,714.62
一般风险准备----------
未分配利润264,427.39250,556.63258,810.04238,229.71233,172.83
归属于母公司股东权益合计534,231.25519,670.10526,650.02505,320.26500,071.81
少数股东权益29,547.7529,214.6129,626.0829,339.0021,807.23
所有者权益(或股东权益)合计563,779.00548,884.71556,276.10534,659.26521,879.05
负债和所有者权益(或股东权益)总计1,042,823.581,029,627.141,029,816.67972,175.571,021,351.96
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