联系客服

002024 深市 ST易购


首页 公告 ST易购:2022年半年度财务报告

ST易购:2022年半年度财务报告

公告日期:2022-08-31

ST易购:2022年半年度财务报告 PDF查看PDF原文
苏宁易购集团股份有限公司
2022 年半年度财务报表及财务报告


2022 年 6 月 30 日合并及公司资产负债表

                                                      2022 年        2021 年        2022 年        2021 年
                                                    6 月 30 日    12 月 31 日      6 月 30 日    12 月 31 日
        资      产              附注                合并          合并          公司          公司

流动资产

  货币资金                          四(1)          21,529,162    17,967,374    14,206,126    12,332,224

  交易性金融资产                    四(2)          13,117,072    14,200,890        927,326      1,764,964

  应收票据                      四(3)、十六(1)        142,848        98,915        116,363        76,289

  应收账款                      四(4)、十六(2)      4,910,094      5,466,713    100,015,792    97,232,527

  预付款项                          四(5)          19,899,831    20,382,896    38,913,615    38,805,512

  其他应收款                    四(6)、十六(3)      1,453,082      1,446,460    31,628,457    29,141,207

  存货                              四(7)          9,829,178    12,289,891      6,023,437      7,468,338

  合同资产                                              1,227          2,829              -              -

  一年内到期的非流动资产            四(9)            194,785        178,285              -              -

  其他流动资产                      四(8)          2,693,126      3,245,080        93,932        162,832

流动资产合计                                      73,770,405    75,279,333    191,925,048    186,983,893

非流动资产

  长期应收款                        四(10)          1,327,807      1,355,030        951,049        952,186

  长期股权投资                四(13)、十六(4)    15,337,733    15,304,488    45,023,457    47,220,774

  其他权益工具投资                  四(11)          4,045,579      4,338,200      4,035,601      4,332,025

  其他非流动金融资产                四(12)            621,903        629,977        149,998        176,602

  投资性房地产                      四(14)          7,668,966      7,484,573        846,465        779,199

  固定资产                          四(15)        12,321,466    13,327,550      1,499,833      1,624,776

  在建工程                          四(16)          3,861,059      3,849,908            255              -

  使用权资产                        四(17)        21,330,579    23,552,412        148,250        175,012

  无形资产                          四(18)          9,007,638      9,264,229        333,328        350,291

  开发支出                          四(18)            37,710        37,710          4,029          4,029

  商誉                              四(19)          5,454,081      5,454,650              -              -

  长期待摊费用                      四(20)            353,253        617,725          2,270          4,787

  递延所得税资产                    四(22)        10,344,563      9,737,454      1,008,601        846,090

  其他非流动资产                    四(21)            456,246        504,847        96,703        107,221

非流动资产合计                                    92,168,583    95,458,753    54,099,839    56,572,992

资产总计                                          165,938,988    170,738,086    246,024,887    243,556,885


2022 年 6 月 30 日合并及公司资产负债表(续)

                                                      2022 年        2021 年        2022 年        2021 年
                                                    6 月 30 日    12 月 31 日      6 月 30 日    12 月 31 日
      负 债 及 股 东 权 益          附注              合并          合并          公司          公司

流动负债

  短期借款                          四(24)        32,029,554    30,094,393    31,659,996    28,630,375

  应付票据                          四(25)        12,647,868    16,867,504    15,036,816    19,512,115

  应付账款                          四(26)        19,225,570    20,135,826    70,419,826    69,564,270

  预收款项                          四(27)          414,373        488,121        24,371        31,112

  合同负债                          四(28)        10,463,195    10,058,256    73,984,611    79,405,674

  应付职工薪酬                      四(29)          928,463        871,908        107,767        94,584

  应交税费                          四(30)        1,523,048      1,318,892        659,236        121,108

  其他应付款                        四(31)        19,652,342    16,454,591    11,632,792      5,306,495

  一年内到期的非流动负债            四(32)        13,159,613    13,207,884      3,474,269      3,389,282

  其他流动负债                      四(33)          784,935        776,081        107,127        30,929

流动负债合计                                      110,828,961    110,273,456    207,106,811    206,085,944

非流动负债

  长期借款                          四(34)                  -              -              -              -

  应付债券                          四(35)                  -        533,300              -        533,300

  租赁负债                          四(36)        21,806,721    24,375,629        39,265        98,731

  长期应付款                        四(37)        1,021,787        908,708        380,000        380,000

  预计负债                                                  -              -              -              -

  递延收
[点击查看PDF原文]