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首页 公告 江铃汽车:半年报财务报表

江铃汽车:半年报财务报表

公告日期:2025-08-27


        资      产                附注        2025年6月30日      2024年12月31日      2025年6月30日      2024年12月31日
                                                      合并*                合并              公司*                公司

 流动资产

  货币资金                        五(1)          11,840,450,248      12,546,295,890      8,812,639,341      9,269,593,792

  衍生金融资产                    五(2)                4,568,083          12,612,380          4,568,083          12,612,380

  应收票据                        五(3)                570,313            226,865      1,000,570,313      1,500,226,865

  应收账款                    五(4)、十四(1)        5,685,857,715      4,181,008,234      6,715,437,913      5,521,047,573

  应收款项融资                    五(5)            310,302,211        302,065,502          22,005,635          18,070,384

  预付款项                        五(6)              45,567,217          94,749,172          45,567,217          94,749,172

  其他应收款                  五(7)、十四(2)          55,829,685          54,013,240        231,205,459        144,617,207

  存货                            五(8)            1,590,186,600      2,054,517,242      1,582,189,364      2,046,549,034

  一年内到期的非流动资产          五(10)              16,089,107          20,784,738          9,271,197          15,161,497

  其他流动资产                    五(9)            1,214,078,126      1,228,372,977        782,122,256        777,406,955

 流动资产合计                                      20,763,499,305      20,494,646,240      19,205,576,778      19,400,034,859

 非流动资产

  长期应收款                      五(11)              17,387,215          18,533,908                  -          1,584,891

  长期股权投资                五(12)、十四(3)        209,494,706        219,298,031        762,148,636        771,951,961

  固定资产                        五(13)          5,972,145,854      5,749,474,005      5,118,985,576      5,111,224,814

  在建工程                        五(14)            501,719,953        661,911,780        434,498,010        582,757,760

  使用权资产                      五(15)            118,011,325        158,485,688        104,359,703        142,207,976

  无形资产                        五(16)          1,753,990,312      1,811,454,853      1,537,017,915      1,596,623,962

  开发支出                        五(17)            152,800,683        188,103,430        152,800,683        188,103,430

  商誉                            五(20)                      -                  -                  -                  -

  递延所得税资产                  五(18)          1,535,803,432      1,530,144,365                  -                  -

  其他非流动资产                  五(19)              6,386,526          7,860,340          6,386,526          7,860,340

 非流动资产合计                                    10,267,740,006      10,345,266,400      8,116,197,049      8,402,315,134

 资产总计                                          31,031,239,311      30,839,912,640      27,321,773,827      27,802,349,993

  备注:*为未经审计的财务数据


  负  债  及 股 东 权  益        附注        2025年6月30日      2024年12月31日      2025年6月30日      2024年12月31日
                                                      合并*                合并              公司*                公司

  流动负债

    短期借款                        五(21)          1,400,000,000      1,500,000,000      1,000,000,000      1,500,000,000

    应付账款                        五(22)          10,276,435,013      10,061,223,944      10,271,525,911      10,047,585,502

    合同负债                        五(23)            635,547,682        467,704,291        272,153,347        536,871,795

    应付职工薪酬                    五(24)            638,813,703        780,174,574        557,704,024        672,858,988

    应交税费                        五(25)            127,849,617        265,198,389        117,562,476        256,969,632

    其他应付款                      五(26)          5,899,601,355      5,739,064,167      2,507,594,559      2,130,094,497

    一年内到期的非流动负债          五(27)              83,537,908          86,155,114          77,892,029          81,053,594

    其他流动负债                    五(28)            346,008,533        341,548,441          45,182,598          98,829,073

  流动负债合计                                      19,407,793,811      19,241,068,920      14,849,614,944      15,324,263,081

  非流动负债

    长期借款                        五(29)                703,163            941,453            703,163            941,453

    租赁负债                        五(30)              19,244,305          93,752,634          10,506,914          82,241,628

    预计负债                        五(31)            300,621,143        287,165,703          5,487,495          3,553,345

    递延收益                        五(32)              65,827,527          61,202,010          65,769,194          61,202,010

    长期应付职工薪酬                五(33)              57,627,748          59,342,000          57,276,748          58,991,000

    递延所得税负债                  五(18)            220,032,344