[公告]美菱电器:2015半年度财务报告-[中财网]
  432,237,282.76在建工程12,

393.90应收利息应收股利其他应收款43,

155,289.5354,

910,

  169,707,

793.30795,

292,205.00763,2015半年度财务报告-[中财网]  [公告]美菱电器:938,686.19所有者权益:487,090,   793.39非流动资产: 可供出售金融资产5,524.9062,342.78开发支出8,688.82非流动负:000.00持有至到期投资长期应收款长期股权投资841,792,265.21561,   864,

548,

042,943,339.07以公允价值计量且其变动计入当期损益的金融负81,   792.66固定资产915,   059.46减:097.35

88

5,516,

729,

84

6.5

51,313,875.1575,533.03工程物资固定资产清理43,802,511.02其他非流动资产非流动资产合计2,634,638,667,   205.00其他权益工具其中:749.80存货

74

3,163.5475,合并资产负表编制单位:264.51509,395,   393,913.50长期待摊费用递延所得税资产87,   189,153.376,501,005,006,211,847,001.951,963,462.51应付利息应付股利12,640.91其他应付款925,   张晓龙会计机构负责人:刘体斌3、595.722,267.73156,250,045.61递延所得税负其他非流动负非流动负合计462,242,

优先股 永续资本公积1,

170.00衍生金融负应付票据1,432,308,529.161,

550,

334,   282.38应付账款1,

142,

  640.91其他应付款785,优先股永续长期应付款长期应付职工薪酬40,发放贷款及垫款可供出售金融资产5,

504.5

514,   839.41

收款项455,   391,

963.14152,

270.7451,

453.84347,

638,

  913.505,895,库存股其他综合收益专项储备盈余公积359,

945.9515,

216.5923,248.06176,人民元1、900.761,843.84生产生物资产油气资产无形资产570,920.5140,312,426,406.46712,   954.71生产生物资产油气资产无形资产428,942.44划分为持有待售的负一年内到期的非流动负7,

633,

761.647,

392,

529.5528,

089,106.14359,096,

641,

044,920.5140,336.362,

369,

313,892.65407,940,328.80买入返售金融资产存货1,073,472,短期借款255,059.461,786,893.3576,

388,

000.00持有至到期投资长期应收款长期股权投资78,794,母公司资产负表单位:

538,

223,

147,

512.52其他流动负流动负合计6,013.80结算备付金拆出资金以公允价值计量且其变动计入当期损益的金融资产3,404,776.021,660,947,378.7492,

570,

997.37

负合计4

,优先股永续资本公积1,800.007,407.86划分为持有待售的资产 一年内到期的非流动资产其他流动资产流动资产合计8,739,014,

467,

933,   933,   794.471,497,987,003,2015半年度财务报告时间:货资金2,940.46359,826,940.46未分配利润790,536,

283,

437,

  742,

500,

库存股其他综合收益-3,   939.03减:   153,921,   275.78负和所有者权益总计7,892,

512,

417.377,848.3112,170.00衍生金融负应付票据2,961.97法定代表人:   262,短期借款356,张晓龙会计歌乐山核名   765,739.07向中央银行借款吸收存款及同业存放拆入资金以公允价值计量且其变动计入当期损益的金融负81,   932,223,553,   032,209.63开发支出38,   277.00预付款项102,727.87835,961.97流动负:620,572,192,347.20所有者权益:

212.29应交税费134,

686.15递延收益71,918,435,116,616.00非流动资产合计2,   426,763,795.62固定资产1,

745,

股本763,

  426.13资产总计10,329,537,292,1

68.58资产

总计7,   508,   707.68应付分保账款保险合同准备金代理买卖证券款代理承销证券款划分为持有待售的负一年内到期的非流动负11,   993,898.99专项储备盈余公积359,551,   686.15递延收益129,   337.89470,195,

681,

  379.53负合计6,

526,

  000.00

应付券其

中:000,739,100.00衍生金融资产应收票据1,765,

043,

208.162,004.621,488,439,377.09卖出回购金融资产款应付手续费及佣金应付职工薪酬105,761,227.77递延所得税负其他非流动负非流动负合计560,

  000,

106.14一般风险准备未分配利润947,153,527,044.05应收账款1,574,472.74538,998,

189.83所有者权益合计3,

219,165,943,663.603,153,265,107,153,

092,

703.4125,954.7143,963,677,291.66434,000,150,491,704.06应收保费应收分保账款应收分保合同准备金应收利息582,447,长期借款48,953,943,872.61投资房地产12,220.263,127,157.09商誉5,380,725,   070.86所有者权益合计3,081.1277,

009,

775.57非流动资产:   857,494.881,989,   271,000.005,572,350.18应付利息应付股利12,   468,货资金2,   766,元项目期末余额期初余额流动资产:422,920.86在建工程28,471,338,443.93872,916,658,110,   967.67非流动负:

014,

  857,186.92833,刘体斌主管会计工作负责人:638,

400,

  036,313.49归属于母公司所有者权益合计3,   122.862,009,809,

294.515,

451.99131,   584.71预付款项318,

587.55828,

870.63应收股利其他应收款39,   120,650.78373,879.01商誉长期待摊费用递延所得税资产74,[公告]美菱电器:205.00其他权益工具其中:

股本763,

850.785,

194,

497,100.00衍生金融资产应收票据1,107,513.5611,166.213,696,785.95划分为持有待售的资产一年内到期的非流动资产其他流动资产流动资产合计5,2015年08月12日21:35:24 中财网合肥美菱股份有限公司2015半年度财务报告(未经审计)2015年08月 合肥美菱股份有限公司2015年半年度财务报告(未经审计)一、

995,

  205.00763,

616,

459,279,   228,130,059,   292,696.342,优先股永续长期应付款长期应付职工薪酬40,634,323,739,   210.96767,216.76296,   797,

854.78应收账款1,

235,

622,151,959,487,201.70法定代表人:547,58

6.0

548,355,

341,

664.67少数股东权益23,

633,

  579.73809,

292.55应付账款1,004.21投资房地产14,512,234.7514,合肥美菱股份有限公司2015年06月30日单位:317,

453.84347,

465.61专项应付款预计负342,元项目期末余额期初余额流动资产:417.377,   000.005,242.781,160,987,

823.37-3,

142,438,646.4018,   854.50负和所有者权益总计10,   453,237,   665,029,   726,865.71应付职工薪酬40,

317,

465.61专项应付款预计负342,

592,

099,760.60 其他流动负流动负合计4,001.494,871,合并利润表主管会计工作负责人:海关办理流程395,001,

647,

财务报表财务附注中报表的单位为:965.38 预收款项250,489.739,467,633,826,

罗博2、

633,201.70流动负:审计报告半年度报告是否经过审计□是√否二、803,323.525,742,   415.883,466,808,873.81其他非流动资产41,424.25以公允价值计量且其变动计入当期损益的金融资产3,385.79应交税费56,489.739,367,262,164,349,

592,

208.162,

长期借款7,   642,739,056,

954,

837,   734,746,935,980,412,602,

204.0183,

800.00应付券其中:   707.57工程物资固定资产清理75,415,
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