四川長(zhǎng)虹財(cái)務(wù)報(bào)表分析

四川長(zhǎng)虹財(cái)務(wù)報(bào)表分析

ID:6301087

大?。?28.50 KB

頁數(shù):8頁

時(shí)間:2018-01-09

四川長(zhǎng)虹財(cái)務(wù)報(bào)表分析_第1頁
四川長(zhǎng)虹財(cái)務(wù)報(bào)表分析_第2頁
四川長(zhǎng)虹財(cái)務(wù)報(bào)表分析_第3頁
四川長(zhǎng)虹財(cái)務(wù)報(bào)表分析_第4頁
四川長(zhǎng)虹財(cái)務(wù)報(bào)表分析_第5頁
資源描述:

《四川長(zhǎng)虹財(cái)務(wù)報(bào)表分析》由會(huì)員上傳分享,免費(fèi)在線閱讀,更多相關(guān)內(nèi)容在行業(yè)資料-天天文庫

1、四川長(zhǎng)虹電器股份有限公司財(cái)務(wù)報(bào)表分析一.對(duì)資產(chǎn)負(fù)債表的初步分析表一:股票代碼:600839股票簡(jiǎn)稱:四川長(zhǎng)虹資產(chǎn)負(fù)債表(單位:人民幣元)科目2011-9-302011-6-30科目2011-9-302011-6-30流動(dòng)資產(chǎn):  流動(dòng)負(fù)債:  貨幣資金5,502,603,573.005,621,292,455.00短期借款2,815,395,989.002,700,657,062.00交易性金融資產(chǎn)23,590,811.0010,887,225.00交易性金融負(fù)債34,156,440.0032,094,312.00應(yīng)收票據(jù)274,474,569.00259,952,500

2、.00應(yīng)付票據(jù)344,100,000.00139,000,000.00應(yīng)收賬款2,174,888,737.001,781,341,756.00應(yīng)付賬款515,260,622.00472,463,053.00預(yù)付款項(xiàng)845,852,287.001,102,402,572.00預(yù)收款項(xiàng)355,765,586.00483,471,410.00其他應(yīng)收款984,885,303.00794,799,490.00應(yīng)付職工薪酬89,103,582.0082,458,472.00應(yīng)收關(guān)聯(lián)公司款應(yīng)交稅費(fèi)230,487,714.00280,178,420.00應(yīng)收利息應(yīng)付利息應(yīng)收股利應(yīng)付股利

3、14,400,000.0014,400,000.00存貨2,614,223,809.002,920,166,954.00其他應(yīng)付款635,932,613.00631,766,466.00其中:消耗性生物資產(chǎn)應(yīng)付關(guān)聯(lián)公司款一年內(nèi)到期的非流動(dòng)資產(chǎn)60,892,423.0060,892,423.00一年內(nèi)到期的非流動(dòng)負(fù)債720,724,364.001,020,724,364.00其他流動(dòng)資產(chǎn)其他流動(dòng)負(fù)債1,030,500,000.001,021,350,000.00流動(dòng)資產(chǎn)合計(jì)12,481,411,512.0012,551,735,375.00流動(dòng)負(fù)債合計(jì)6,785,826,9

4、10.006,878,563,559.00非流動(dòng)資產(chǎn):  非流動(dòng)負(fù)債:  可供出售金融資產(chǎn)61,908,428.0096,498,658.00長(zhǎng)期借款1,347,378,695.001,295,960,000.00持有至到期投資應(yīng)付債券4,144,886,667.004,092,558,904.00長(zhǎng)期應(yīng)收款12,430,567.0012,430,567.00長(zhǎng)期應(yīng)付款55,730,273.0055,730,272.00長(zhǎng)期股權(quán)投資2,347,894,897.002,307,758,113.00專項(xiàng)應(yīng)付款投資性房地產(chǎn)13,439,551.0013,439,551.00預(yù)計(jì)

5、負(fù)債固定資產(chǎn)5,527,718,439.005,608,509,279.00遞延所得稅負(fù)債16,969,197.0016,969,197.008在建工程2,086,354,607.001,895,987,283.00其他非流動(dòng)負(fù)債570,104,293.00567,445,444.00工程物資非流動(dòng)負(fù)債合計(jì)6,135,069,125.006,028,663,817.00固定資產(chǎn)清理負(fù)債合計(jì)12,920,896,035.0012,907,227,376.00股東權(quán)益:油氣資產(chǎn)實(shí)收資本(或股本)2,383,000,000.002,383,000,000.00生產(chǎn)性生物資產(chǎn)資本

6、公積5,519,652,402.005,559,445,488.00無形資產(chǎn)2,177,406,063.002,173,267,293.00盈余公積427,297,584.00427,297,584.00開發(fā)支出減:庫存股商譽(yù)61,501,377.0061,501,377.00未分配利潤(rùn)3,047,891,341.002,932,530,818.00長(zhǎng)期待攤費(fèi)用少數(shù)股東權(quán)益674,694,091.00659,562,044.00遞延所得稅資產(chǎn)172,267,703.00115,915,601.00外幣報(bào)表折算價(jià)差12,890,838.0014,347,684.00其他非流

7、動(dòng)資產(chǎn)97,044,568.0096,678,842.00非正常經(jīng)營(yíng)項(xiàng)目收益調(diào)整非流動(dòng)資產(chǎn)合計(jì)12,557,966,200.0012,381,986,564.00所有者權(quán)益(或股東權(quán)益)合計(jì)12,118,481,677.0012,026,494,563.00資產(chǎn)總計(jì)25,039,377,712.0024,933,721,939.00負(fù)債和所有者(或股東權(quán)益)合計(jì)25,039,377,712.0024,933,721,939.00表二:資產(chǎn)負(fù)債表趨勢(shì),結(jié)構(gòu)分析表資產(chǎn):增(減)/%結(jié)構(gòu)(%)負(fù)債和所有者權(quán)益:增(減)/%結(jié)構(gòu)(%)

當(dāng)前文檔最多預(yù)覽五頁,下載文檔查看全文

此文檔下載收益歸作者所有

當(dāng)前文檔最多預(yù)覽五頁,下載文檔查看全文
溫馨提示:
1. 部分包含數(shù)學(xué)公式或PPT動(dòng)畫的文件,查看預(yù)覽時(shí)可能會(huì)顯示錯(cuò)亂或異常,文件下載后無此問題,請(qǐng)放心下載。
2. 本文檔由用戶上傳,版權(quán)歸屬用戶,天天文庫負(fù)責(zé)整理代發(fā)布。如果您對(duì)本文檔版權(quán)有爭(zhēng)議請(qǐng)及時(shí)聯(lián)系客服。
3. 下載前請(qǐng)仔細(xì)閱讀文檔內(nèi)容,確認(rèn)文檔內(nèi)容符合您的需求后進(jìn)行下載,若出現(xiàn)內(nèi)容與標(biāo)題不符可向本站投訴處理。
4. 下載文檔時(shí)可能由于網(wǎng)絡(luò)波動(dòng)等原因無法下載或下載錯(cuò)誤,付費(fèi)完成后未能成功下載的用戶請(qǐng)聯(lián)系客服處理。