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首页 公告 金融街:2025年半年度财务报告

金融街:2025年半年度财务报告

公告日期:2025-08-19

金融街控股股份有限公司
 2025 年半年度财务报告

      2025 年 8 月 19 日


                        合并资产负债表

编制单位:金融街控股股份有限公司        2025 年 6 月 30 日                金额单位:人民币元

              项  目                  附注          期末余额        上年年末余额

 流动资产:

  货币资金                              五、1      10,637,250,764.80    12,810,972,299.53

  交易性金融资产                                                                      -

  应收票据                                                                            -

  应收账款                              五、2          505,731,289.41      490,950,492.32

  应收款项融资                                                                        -

  预付款项                              五、3          254,612,265.17      257,963,080.78

  其他应收款                            五、4        4,972,149,344.86    4,723,418,578.16

  其中:应收利息                                                                      -

        应收股利                                                                      -

  存货                                  五、5      47,474,441,406.45    50,989,472,645.54

  合同资产                                                                            -

  持有待售资产                          五、6                            670,561,853.30

  一年内到期的非流动资产                                                              -

  其他流动资产                          五、7        2,941,469,456.31    2,913,466,344.10

    流动资产合计                                    66,785,654,527.00    72,856,805,293.73

 非流动资产:                                                                          -

  债权投资                                                                            -

  其他债权投资                                                                        -

  长期应收款                            五、8          93,757,629.92      91,561,413.13

  长期股权投资                          五、9        3,644,190,190.64    3,728,314,809.89

  其他权益工具投资                                                                    -

  其他非流动金融资产                    五、10        679,750,000.00      852,950,000.00

  投资性房地产                          五、11      39,027,157,089.01    38,979,685,121.41

  固定资产                              五、12        1,648,002,986.55    1,816,537,370.22

  在建工程                                                                            -

  使用权资产                            五、13          92,833,710.06      100,761,394.19

  无形资产                              五、14        330,286,011.68      333,356,594.33

  开发支出                                                                            -

  商誉                                                                                -

  长期待摊费用                          五、15          20,192,501.06      21,755,018.66

  递延所得税资产                        五、16        2,905,327,681.17    2,713,854,638.96

  其他非流动资产                        五、17        122,643,296.17      137,199,732.15

    非流动资产合计                                  48,564,141,096.26    48,775,976,092.94

      资产总计                                      115,349,795,623.26  121,632,781,386.67

法定代表人:杨扬    总经理:盛华平    财务总监:  于健          财务部经理:叶景

                      合并资产负债表(续)

 编制单位:金融街控股股份有限公司      2025 年 6 月 30 日                  金额单位:人民币元

              项  目                附注          期末余额            上年年末余额

流动负债:

  短期借款                                                          -                      -

  交易性金融负债                                                                          -

  应付票据                          五、19              47,528,977.61            7,159,991.47

  应付账款                          五、20          5,025,725,240.70        5,871,062,731.76

  预收款项                          五、21            177,327,658.82          441,747,688.46

  合同负债                          五、22          4,556,360,020.44        4,205,943,251.27

  应付职工薪酬                      五、23            210,862,455.43          264,111,876.88

  应交税费                          五、24          1,642,591,048.77        1,880,584,155.09

  其他应付款                        五、25          5,187,508,385.90        6,875,790,839.94

  其中:应付利息

        应付股利

  持有待售负债                        五、6                                    169,505,819.12

  一年内到期的非流动负债            五、26          1,779,531,925.40        3,858,209,880.68

  其他流动负债                      五、27            414,402,303.69          367,714,931.15

    流动负债合计                                      19,041,838,016.76      23,941,831,165.82

非流动负债:                                                                              -

  长期借款                          五、28          30,660,271,811.77      29,633,248,599.32

  应付债券                          五、29          35,064,752,797.77      36,387,609,973.33

  租赁负债                          五、30              72,598,004.13          72,901,472.67

  长期应付款                                                                              -

  预计负债                                                                                -

  递延收益