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首页 公告 ST易购:2023年半年度财务报告

ST易购:2023年半年度财务报告

公告日期:2023-08-31

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苏宁易购集团股份有限公司
2023 年半年度财务报告


2023 年 6 月 30 日合并及公司资产负债表

                                                  2023 年        2022 年        2023 年        2022 年

            资    产                附注        6 月 30 日      12 月 31 日      6 月 30 日      12 月 31 日

                                                    合并          合并          公司          公司

            流动资产

            货币资金                四(1)        18,624,214    15,986,574    14,990,816    10,647,941

        交易性金融资产              四(2)        15,640,459    13,934,181      2,833,484        545,031

            应收票据            四(3)、十六(1)        74,491        136,234        56,340        91,423

            应收账款            四(4)、十六(2)      3,319,549      3,273,924    36,179,580    29,456,686

            预付款项                四(5)        11,082,059    12,099,145    13,408,554    13,472,957

          其他应收款          四(6)、十六(3)      2,417,793      2,554,356    21,848,887    20,288,604

              存货                  四(7)          7,911,622      9,200,734      6,404,659      6,258,235

            合同资产                                  1,950            46              -              -

          其他流动资产              四(8)          1,910,876      2,350,734        186,232        385,250

    一年内到期的非流动资产          四(9)            147,201        145,468              -              -

          流动资产合计                            61,130,214    59,681,396    95,908,552    81,146,127

          非流动资产

          长期应收款              四(10)        1,404,332      1,507,965        949,546        949,375

          长期股权投资          四(13)、十六(4)    13,823,296    13,815,302    42,583,902    42,610,470

        其他权益工具投资            四(11)        2,841,496      3,660,649      2,841,496      3,660,649

      其他非流动金融资产          四(12)          687,951        671,155        171,472        164,429

          投资性房地产              四(14)        8,073,454      7,911,936        789,428        926,768

            固定资产                四(15)        9,822,649    10,537,929      1,683,515      1,363,784

            在建工程                四(16)        3,550,216      3,764,738              2              2

          使用权资产              四(17)        12,490,959    14,352,158        95,990        121,137

            无形资产                四(18)        7,802,295      8,145,764        297,509        314,345

              商誉                  四(19)        2,070,375      2,606,717              -              -

          长期待摊费用              四(20)          141,392        283,373          1,285          1,645

        递延所得税资产            四(22)        12,615,034    12,593,548      2,999,665      2,538,124

        其他非流动资产            四(21)          364,654        389,773          1,606          2,972

        非流动资产合计                          75,688,103    80,241,007    52,415,416    52,653,700

            资产总计                            136,818,317    139,922,403    148,323,968    133,799,827

后附财务报表附注为财务报表的组成部分。

企业负责人: 任峻        主管会计工作的负责人:周斌        会计机构负责人:华志松

2023 年 6 月 30 日合并及公司资产负债表(续)

                                                  2023 年        2022 年        2023 年        2022 年

      负 债 及 股 东 权 益            附注      6 月 30 日      12 月 31 日      6 月 30 日      12 月 31 日

                                                    合并          合并          公司          公司

            流动负债

            短期借款                四(24)        32,409,954    28,437,627    37,993,375    32,933,427

            应付票据                四(25)        8,727,830    11,120,652      9,052,688    10,221,124

            应付账款                四(26)        16,813,151    18,364,753    12,868,446    11,787,101

            预收款项                四(27)          363,626        364,987        23,821        25,451

            合同负债                四(28)        9,069,850      8,509,497    39,061,157    30,486,242

          应付职工薪酬              四(29)        1,337,209      1,201,326        132,472        156,170

            应交税费                四(30)        1,544,313      1,398,481        198,762        190,387

          其他应付款              四(31)        22,596,374    20,514,004    13,852,635    11,269,017

    一年内到期的非流动负债        四(32)        11,764,047    13,377,006      2,679,997      3,396,646

          其他流动负债              四(33)        1,095,749        877,728        125,185        122,259

          流动负债合计                          105,722,103    104,166,061    115,988,538    100,587,824

          非流动负债

            长期借款                四(34)                  -              -              -              -

            应付债券                四(35)                  -              -              -              -

            租赁负债                四(36)        14,614,968    16,604,445        84,402        89,498

          长期应付款              四(37)          900,934        917,654        380,000        380,000

            递延收益                四(38)          590,852        620,293        46,372        47,008

        递延所得税负债            四(22)        1,549,600      1,79
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