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首页 公告 沪电股份:2021年1月1日至6月30日止期间财务报表

沪电股份:2021年1月1日至6月30日止期间财务报表

公告日期:2021-08-27

沪电股份:2021年1月1日至6月30日止期间财务报表 PDF查看PDF原文

  沪士电子股份有限公司
(在中华人民共和国注册成立)

2021 年 1 月 1 日至 6 月 30 日止期间

财务报表(未经审计)

沪士电子股份有限公司
2021年 1月 1日至 6月 30日止期间财务报表

                                                    页码

  合并及公司资产负债表                              1 – 2

  合并及公司利润表                                  3

  合并及公司现金流量表                              4

  合并股东权益变动表                                5

  公司股东权益变动表                                6

  财务报表附注                                      7 – 106

补充资料                                            1

一、财务报表

                                      2021年 6月 30日合并及公司资产负债表

                                                (除特别注明外,金额单位为人民币元)

                                                                                                        合并                                        公司

                    资        产                              附注                          2021 年              2020 年                2021 年              2020 年
                                                                                              6 月 30 日          12 月 31 日              6 月 30 日          12 月 31 日
  流动资 产

      货币资金                                        四(1)                              1,177,198,178          933,795,160            756,489,025          595,302,424
      交易性金融资 产                                  四(2)                              1,162,378,330          728,471,003          1,112,319,028          577,528,400
      应收票据                                        四(3)                                  7,717,415          55,219,103              7,717,415          55,219,103
      应收账款                                        四(4 )、十 三(1 )                      1,798,884,161        1,687,979,811          1,369,788,276        1,348,504,562
      应收款项融资                                    四(5)                                38,211,336          98,081,511            38,211,336          97,906,359
      预付款项                                        四(6)                                12,686,366          13,361,143              7,195,491            8,088,220
      其他应收款                                      四(7 )、十 三(2 )                        41,973,043          32,054,059            318,572,054          401,651,928
      存货                                            四(8)                              1,642,282,865        1,425,041,183            948,036,317          833,534,853
      一年内到期的 非流动资产                                                                30,035,514                    -            30,035,514                    -
      其他流动资产                                    四(9)                                34,502,693          23,294,846              7,039,269                    -
  流动资 产合计                                                                          5,945,869,901        4,997,297,819          4,595,403,725        3,917,735,849
  非流动 资产

      长期股权投资                                    四(1 2)、 五( 2)、 十三( 3)                69,869,856          86,650,803          1,907,676,800        1,894,787,863
      其他权益工具 投资                                四(10)                              251,730,862          163,054,571                      -                    -
      其他非流动金融 资产                              四(11)                                18,150,000                    -            18,150,000                    -
      投资性房地产                                    四(13)                                4,078,866            4,289,514                      -                    -
      固定资产                                        四(14)                            2,605,494,033        2,627,773,775          1,154,006,866        1,204,051,866
      在建工程                                        四(15)                              171,133,706          138,325,720            145,430,519          87,755,503
      使用权资产                                                                              1,930,880                ——                822,231                ——
      无形资产                                        四(16)                              104,398,676          105,007,870            41,137,316          41,766,122
      长期待摊费用                                                                            8,287,386            4,273,277              7,223,798            2,917,598
      递延所得税资 产                                  四(18)                                94,710,214          127,284,287            53,189,526          73,946,726
      其他非流动资 产                                  四(17)                            1,612,459,998        1,302,015,460          1,592,248,556        1,271,722,529
  非流动 资产合计                                                                        4,942,244,477        4,558,675,277          4,919,885,612        4,576,948,207
  资产总 计                                                                              10,888,114,378        9,555,973,096          9,515,289,337        8,494,684,056
 后附财务 报表附注为
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