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首页 公告 中兴通讯:2025年半年度财务报告

中兴通讯:2025年半年度财务报告

公告日期:2025-08-29

二〇二五年半年度财务报告

      (未经审计)

    中兴通讯股份有限公司

    ZTE CORPORATION

合并资产负债表

2025年6月30日                                                          人民币千元
注:财务报表附注中标记为#号的部分为遵循香港《公司条例》和《香港联合交易所有限公司证券上市规则》所作的补充披露。

  资产                            附注五          2025年6月30日      2024年12月31日
                                                        (未经审计)              (经审计)
  流动资产

    货币资金                        1                39,470,343          43,885,348
    交易性金融资产                  2                14,460,985          13,768,781
    衍生金融资产                    3                    242,410              173,439
    应收账款                      4A                29,201,211          21,288,393
    应收账款保理                  4A                      852                6,498
    应收款项融资                  4B                1,103,008            4,243,041
    预付款项                        5                    758,886              692,097
    其他应收款                      6                  1,970,536            2,597,585
    存货                            7                42,056,940          41,257,657
    合同资产                        8                  4,986,650            4,972,074
    一年内到期的非流动资产        21                    3,121                3,085
    其他流动资产                  22                12,199,180            8,899,348
  流动资产合计                                      146,454,122          141,787,346
  非流动资产

    债权投资                        9                29,586,919          25,068,445
    长期应收款                    10                  1,209,943              833,972
    长期应收款保理                10                      639                8,664
    长期股权投资                  11                  2,340,069            2,333,836
    其他非流动金融资产            12                  700,617              715,761
    投资性房地产                  13                    99,045              99,045
    固定资产                      14                13,812,275          14,178,419
    在建工程                      15                  689,723              685,376
    使用权资产                    16                  1,412,397            1,551,573
    无形资产                      17                  7,258,905            7,159,200
    开发支出                      18                  1,500,935            1,594,563
    商誉                          19                    14,425              14,425
    递延所得税资产                20                  4,532,204            4,396,088
    其他非流动资产                22                  6,698,107            6,896,517
  非流动资产合计                                      69,856,203          65,535,884
  资产总计                                          216,310,325          207,323,230
后附财务报表附注为本财务报表的组成部分

合并资产负债表(续)

2025年6月30日                                                          人民币千元
  负债                          附注五          2025年6月30日      2024年12月31日
                                                        (未经审计)              (经审计)
  流动负债

    短期借款                      24                  8,577,542            7,027,070
    应收账款保理之银行拨款        4A                      852                6,498
    衍生金融负债                  25                  325,880              200,853
    应付短期债券                  26                          -                    -
    应付票据                      27A                11,573,418          10,959,334
    应付账款                      27B                23,400,704          22,371,792
    合同负债                      28                10,745,743          12,859,416
    应付职工薪酬                  31                15,411,897          16,991,686
    应交税费                      29                  1,171,177            1,205,018
    其他应付款                    30                  2,798,254            3,236,993
    预计负债                      32                  1,545,323            2,184,073
    一年内到期的非流动负债        33                  7,965,830            5,592,740
  流动负债合计                                        83,516,620          82,635,473
  非流动负债

    长期借款                      34                46,358,614          44,058,915
    长期应收款保理之银行拨款      10                      639                8,664
    应付债券                      35                  4,377,055            1,004,880
    租赁负债                      16                  946,641              972,943
    长期应付职工薪酬              31                  150,012              153,647
    递延收益                                            1,914,897            1,496,556
    递延所得税负债                20                  106,031              90,651
    其他非流动负债                36                  3,830,012            3,791,219
  非流动负债合计                                      57,683,901          51,577,475
  负债合计                                          141,200,521          134,212,948
后附财务报表附注为本财务报表的组成部分

合并资产负债表(续)

2025年6月30日                                                          人民币千元
  股东权益                          附注五      2025年6月30日      2024年12月31日
                                                        (未经审计)              (经审计)