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首页 公告 招商蛇口:2025年半年度财务报告

招商蛇口:2025年半年度财务报告

公告日期:2025-08-29

招商局蛇口工业区控股股份有限公司

2025 年 6 月 30 日止半年度财务报表


                                    合并资产负债表

                                                                            人民币元

                        项目                        附注        期末余额              期初余额

    流动资产:                                                                                         

      货币资金                                      六、1      87,763,729,022.64    100,351,402,910.44

      其中:存放财务公司款项                        六、1        1,946,566,813.41        1,422,840,203.11

      交易性金融资产                                六、2            120,000.00            120,000.00

      应收票据                                      六、3          15,881,695.09          62,759,897.91

      应收账款                                      六、4        5,101,042,294.99      3,510,079,687.36

      预付款项                                      六、5        2,665,182,460.25      4,566,712,653.38

      其他应收款                                    六、6      108,300,663,295.60    107,874,105,370.47

      其中:应收股利                                六、6          154,938,894.07        227,765,013.04

      存货                                          六、7      382,907,733,086.73    369,183,324,334.41

      合同资产                                      六、8          112,042,120.94          69,493,466.60

      持有待售资产                                                 16,707,597.75          19,297,717.46

      其他流动资产                                  六、9      31,575,742,425.19      28,528,281,239.81

    流动资产合计                                               618,458,843,999.18    614,165,577,277.84

    非流动资产:                                                                                       

      长期股权投资                                六、10      77,546,448,431.10      76,503,704,038.25

      其他非流动金融资产                          六、11        1,467,510,843.42        1,479,549,761.11

      投资性房地产                                六、12      134,864,713,449.91    132,869,742,019.12

      固定资产                                    六、13      11,992,269,364.41      11,443,994,342.48

      其中:固定资产原价                          六、13      16,672,858,690.22      15,744,616,659.78

            累计折旧                                六、13        4,582,583,386.70      4,282,378,641.03

            固定资产减值准备                        六、13          98,005,939.11          18,243,676.27

      在建工程                                    六、14        354,939,563.96        824,459,503.57

      使用权资产                                  六、15        1,991,575,643.20        2,188,310,011.95

      无形资产                                    六、16        1,907,774,821.31      1,820,638,595.72

      开发支出                                    六、17          47,626,205.33          42,327,009.84

      商誉                                        六、18        1,853,827,345.67      1,853,827,345.67

      长期待摊费用                                六、19        941,092,904.88        1,011,086,345.94

      递延所得税资产                              六、20      15,869,755,222.67      15,153,229,348.09

      其他非流动资产                              六、21        743,570,414.79        952,370,414.79

    非流动资产合计                                             249,581,104,210.65    246,143,238,736.53

    资产总计                                                   868,039,948,209.83    860,308,816,014.37

 附注为财务报表的组成部分


                                合并资产负债表 - 续

                                                                            人民币元

                        项目                        附注        期末余额              期初余额

  流动负债:                                                                                         

    短期借款                                      六、24        4,439,076,027.08      2,750,618,421.17

    应付票据                                                     12,920,268.70                    -

    应付账款                                      六、25      51,061,145,507.63      53,115,444,283.09

    预收款项                                      六、26        299,479,936.69        273,955,468.58

    合同负债                                      六、27      155,532,671,414.24    141,952,286,314.14

    应付职工薪酬                                  六、28        2,307,634,927.44      3,049,283,953.70

    其中:应付工资                                六、28        2,256,054,770.63      2,998,369,223.74

            应付福利费                                                         -                    -

    应交税费                                      六、29        3,148,628,523.04      5,078,609,157.80

    其他应付款                                    六、30      92,742,837,418.86      97,087,785,036.76

    其中:应付股利                                六、30        2,447,678,107.03        862,049,635.30

    一年内到期的非流动负债                        六、31      48,193,517,916.87      49,655,102,872.19

    其他流动负债                                  六、32      34,096,807,968.19      33,345,231,595.81

  流动负债合计