天合光能

- 688599

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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:  2024  2023  2022  2021  2020  2019  2018  2017  2016 
天合光能(688599) 资产负债表
单位:万元
报表日期2021-12-312021-09-302021-06-302021-03-31
流动资产
货币资金1,069,007.731,053,057.87955,186.02977,562.49
交易性金融资产42,994.7566,775.7442,544.545,252.24
衍生金融资产--4,059.922,566.32--
应收票据及应收账款1,046,722.15692,940.90565,007.81525,488.11
应收票据229,711.45------
应收账款817,010.70692,940.90565,007.81525,488.11
应收款项融资44,706.87206,715.28239,445.61195,984.18
预付款项210,171.47157,131.07119,272.06104,120.61
其他应收款(合计)236,533.08195,048.92211,850.67225,382.77
应收利息--41.9542.81--
应收股利9,406.90427.75427.75127.44
其他应收款227,126.18--211,380.11--
买入返售金融资产--------
存货1,275,354.471,316,706.86864,306.72848,061.62
划分为持有待售的资产--------
一年内到期的非流动资产1,054.1366.3966.3968.81
待摊费用--------
待处理流动资产损益--------
其他流动资产167,252.55175,488.40138,792.56173,070.03
流动资产合计4,186,135.264,005,175.793,257,065.993,146,339.34
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66,912.0371,758.1866,836.6765,664.83
长期股权投资204,780.36124,896.4664,533.6237,629.92
投资性房地产--------
在建工程(合计)116,528.73377,369.75382,327.31367,915.85
在建工程116,528.73--382,327.31--
工程物资--------
固定资产及清理(合计)1,336,066.541,132,220.911,075,156.231,012,836.12
固定资产净额1,336,066.54--1,075,156.23--
固定资产清理--------
生产性生物资产--------
公益性生物资产--------
油气资产--------
使用权资产5,566.3028,848.3214,545.3824,107.52
无形资产89,410.2271,571.4075,715.9875,907.15
开发支出--------
商誉15,429.7616,039.4816,039.4816,039.48
长期待摊费用4,204.623,378.233,515.953,733.62
递延所得税资产121,652.17121,841.04122,048.52122,514.45
其他非流动资产165,667.55156,401.70216,031.24241,210.75
非流动资产合计2,167,852.922,180,070.332,057,543.771,985,488.75
资产总计6,353,988.196,185,246.135,314,609.765,131,828.09
流动负债
短期借款664,745.73663,104.26635,444.52610,003.05
交易性金融负债3,513.52196.47338.793,533.19
应付票据及应付账款1,870,838.552,071,928.141,830,635.701,690,365.59
应付票据1,136,473.931,116,946.391,051,946.991,044,497.64
应付账款734,364.63954,981.76778,688.71645,867.95
预收款项--------
应付手续费及佣金--------
应付职工薪酬40,868.7130,486.4928,981.6427,562.15
应交税费65,919.4144,597.4055,924.4956,924.13
其他应付款(合计)198,814.30161,853.27155,173.37142,434.54
应付利息--------
应付股利--------
其他应付款198,814.30--155,173.37--
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235,709.3295,837.98106,201.7879,824.28
其他流动负债219,449.2711,685.518,568.677,867.67
流动负债合计3,504,916.183,366,952.473,007,487.682,818,387.58
非流动负债
长期借款300,596.27402,794.53495,822.49535,551.69
应付债券494,493.44489,044.39----
租赁负债3,474.7333,238.4611,270.8418,549.28
长期应付职工薪酬--------
长期应付款(合计)119,919.9374,331.7765,002.6137,117.74
长期应付款119,919.93--65,002.61--
专项应付款--------
预计非流动负债109,951.06105,628.20103,911.3798,719.42
递延所得税负债2,945.232,133.344,795.392,317.59
长期递延收益1,331.614,131.3515,654.5229,596.11
其他非流动负债--------
非流动负债合计1,032,712.261,111,302.05696,457.22721,851.82
负债合计4,537,628.444,478,254.523,703,944.903,540,239.40
所有者权益
实收资本(或股本)207,366.78206,802.64206,802.64206,802.64
资本公积1,151,351.341,130,214.621,126,213.801,121,175.71
减:库存股--------
其他综合收益-34,778.53-21,055.15-30,956.92-33,424.73
专项储备--------
盈余公积16,814.319,034.649,034.649,034.64
一般风险准备--------
未分配利润336,758.39279,753.41234,694.89224,360.72
归属于母公司股东权益合计1,711,193.351,638,431.211,545,789.051,527,948.98
少数股东权益105,166.4068,560.3964,875.8063,639.71
所有者权益(或股东权益)合计1,816,359.751,706,991.601,610,664.851,591,588.69
负债和所有者权益(或股东权益)总计6,353,988.196,185,246.135,314,609.765,131,828.09
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