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301035 深市 润丰股份


首页 公告 润丰股份:关于2024年年度财务报告(英文版)的公告

润丰股份:关于2024年年度财务报告(英文版)的公告

公告日期:2025-05-08


      Stock code: 301035        Stock abbreviation: Rainbow Agro        Announcement No.: 2025-024

      SHANDONG WEIFANG RAINBOW CHEMICAL CO., LTD

              The Annual Financial Report of 2024

The Company and all members of the Board of Directors warrant that the information disclosed is true, accurate, and

complete, without false records, misleading statements, or material omissions.

1. Consolidated balance sheet

Prepared by: Shandong Weifang Rainbow Chemical Co., Ltd

                                            December 31, 2024

                                                                                                Unit: RMB

              Item                          Closing balance                      Opening balance

Current assets:

  Monetary funds                                    3,127,278,835.99                  3,271,577,916.51

  Deposit reservation for balance

  Lending to banks and other financial

institutions

  Financial assets held for trading                                                                6,000,000.00

  Derivative financial assets                                54,510,264.04

  Notes receivable                                        1,549,052.97                      55,955,879.66

  Accounts receivable                                  5,383,557,983.75                  4,707,041,417.82

  Receivables financing                                    1,781,600.00                        500,000.00

  Pre-payments                                          73,111,436.20                    129,020,462.65

  Premium receivable

  Re-insurance accounts receivable

  Reserves for re-insurance contract

receivable

  Other receivables                                      44,619,050.70                      44,646,181.87

    Including.: interest receivable

            Dividends receivable

  Financial assets purchased under

resale agreement

  Inventory                                          2,417,727,613.29                  3,336,332,619.58

    Including: Data resources

  Contracted assets


  Assets held for sale

  Non-current assets that mature

within one year

  Other current assets                                    373,525,517.33                    329,901,506.56

Total current assets                                  11,477,661,354.27                  11,880,975,984.65

Non-current assets:

  Disbursed loans and advances

  Debt investments

  Other debt investment

  Long-term receivables

  Long-term equity investment                              1,163,628.51                      1,445,021.57

  Other equity instrument investment

  Other non-current financial assets

  Investment real estate                                    7,888,049.83                      8,512,192.20

  Fixed assets                                        2,329,749,377.60                  2,008,437,417.28

  Construction in progress                                380,857,052.90                    395,645,781.60

  Productive biological assets

  Oil and gas assets

  Assets with rights of use                                  40,483,198.54                      14,463,991.44

  Intangible assets                                      289,263,633.21                    214,122,877.97

    Including: Data resources

  Development expenditure                              209,479,407.05                      36,791,601.49

    Including: Data resources

  Goodwill                                              89,560,239.36                      94,866,025.56

  Long-term deferred expenses                            30,010,596.27                      34,125,613.10

  Deferred income tax assets                              351,419,889.32                    117,262,810.63

  Other non-current assets                                88,284,699.67                      91,304,780.64

Total non-current assets                                3,818,159,772.26                  3,016,978,113.48

Total assets                                          15,295,821,126.53                  14,897,954,098.13

Current liabilities:

  Short-term loan                                    2,499,413,865.13                  2,261,455,023.95

  Borrowings from the central bank

  Borrowing from banks and financial

institutions

  Financial liabilities held for trading

  Derivative financial liabilities                              8,956,113.54                      4,141,579.45

  Notes payable                                      3,498,164,564.46                  4,057,148,069.12

  Accounts payable                                    1,054,785,779.66                  1,096,628,295.09

  Advance receipts                                          222,816.73                        232,358.87

  Contract liability                                      105,244,393.90                      29,592,998.73

  Financial assets sold for repurchase

  Deposits and interbank deposits

received


  Amount received from agency trading