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美的集团 000333 - 资产负债表

报告日期2021-12-312020-12-312019-12-312018-12-312017-12-31
流动资产
货币资金(万元)7,187,5568,121,0487,091,6842,788,8284,827,420
结算备付金(万元)----------
拆出资金(万元)----------
交易性金融资产(万元)587,9202,823,960108,735----
衍生金融资产(万元)54,58742,04919,74122,02035,333
应收票据(万元)478,491530,451476,8521,255,6291,085,423
应收账款(万元)2,463,6442,297,8361,866,3821,939,0171,752,872
预付款项(万元)435,281276,371224,618221,589167,225
应收保费(万元)----------
应收分保账款(万元)----------
应收分保合同准备金(万元)----------
应收利息(万元)----------
应收股利(万元)--297,395------
其他应收款(万元)310,407--271,297--265,757
应收出口退税(万元)------nullnull
应收补贴款(万元)----------
应收保证金(万元)----------
内部应收款(万元)----------
买入返售金融资产(万元)----------
存货(万元)4,592,4443,107,6533,244,3402,964,5022,944,417
待摊费用(万元)----------
待处理流动资产损益(万元)----------
一年内到期的非流动资产(万元)1,985,158--------
其他流动资产(万元)3,315,6013,307,9926,501,1037,647,3834,684,727
流动资产合计(万元)24,886,45124,165,53321,648,26918,268,94416,981,068
非流动性资产
发放贷款及垫款(万元)85,193111,35079,0101,132,8391,217,895
可供出售金融资产(万元)------190,688183,105
持有至到期投资(万元)----------
长期应收款(万元)87,13698,162120,8083,48236,225
长期股权投资(万元)379,671290,134279,081271,332263,370
其他长期投资(万元)----------
投资性房地产(万元)85,92040,55639,93439,17742,080
固定资产原值(万元)4,987,7684,711,4684,411,7674,251,9924,015,832
累计折旧(万元)2,697,4512,478,6692,241,3502,004,9421,753,133
固定资产净值(万元)2,290,3172,232,7992,170,4172,247,0492,262,699
固定资产减值准备(万元)5,0328,8773,9493,3282,626
固定资产(万元)2,285,2852,223,9212,166,4682,243,7212,260,072
在建工程(万元)--------87,958
工程物资(万元)----------
固定资产清理(万元)----------
生产性生物资产(万元)----------
公益性生物资产(万元)----------
油气资产(万元)----------
无形资产(万元)1,717,3071,542,2391,548,4181,618,6681,516,704
开发支出(万元)----------
商誉(万元)2,787,4752,955,7222,820,7072,910,0392,890,379
长期待摊费用(万元)139,424130,096126,713119,13785,911
股权分置流通权(万元)----------
递延所得税资产(万元)819,231720,864576,899442,131402,333
其他非流动资产(万元)3,637,4361,125,588494,76055,03561,482
非流动资产合计(万元)13,908,16011,872,7288,547,2738,101,1717,829,618
资产总计(万元)38,794,61036,038,26030,195,54226,370,11524,810,686
流动负债
短期借款(万元)538,162994,393570,18487,039258,410
向中央银行借款(万元)17,888----9,975--
吸收存款及同业存放(万元)7,8188,7546,2484,43910,893
拆入资金(万元)----------
交易性金融负债(万元)----------
衍生金融负债(万元)15,76016,1232,71075,6309,043
应付票据(万元)3,275,2012,824,9942,389,160--2,520,779
应付账款(万元)6,598,3565,393,0264,253,578--3,514,478
预收账款(万元)----1,623,1851,678,1671,740,906
卖出回购金融资产款(万元)----------
应付手续费及佣金(万元)----------
应付职工薪酬(万元)753,517695,482643,611578,800524,750
应交税费(万元)540,427575,806509,627387,530354,415
应付利息(万元)--------9,480
应付股利(万元)--------9,532
其他应交款(万元)----------
应付保证金(万元)----------
内部应付款(万元)----------
其他应付款(万元)428,810450,139380,057--317,041
预提费用(万元)----------
预计流动负债(万元)----------
应付分保账款(万元)----------
保险合同准备金(万元)----------
代理买卖证券款(万元)----------
代理承销证券款(万元)----------
国际票证结算(万元)----------
国内票证结算(万元)----------
递延收益(万元)----------
应付短期债券(万元)----------
一年内到期的非流动负债(万元)2,894,754631,018146,012712,27113,661
其他流动负债(万元)4,822,7954,985,2243,907,4783,131,9712,625,799
流动负债合计(万元)22,285,14818,415,05014,431,84813,023,10911,909,186
非流动性负债
长期借款(万元)1,973,4024,282,7294,129,8383,209,1443,298,633
应付债券(万元)--------455,305
长期应付款(万元)--------24,804
专项应付款(万元)--------250
预计非流动负债(万元)31,05729,81135,32726,88933,074
长期递延收益(万元)122,84677,97361,71664,75853,644
递延所得税负债(万元)495,025522,395455,600442,207397,282
其他非流动负债(万元)68,76969,29986,383101,63599,406
非流动负债合计(万元)3,026,9555,199,5005,014,0844,101,5544,608,983
负债合计(万元)25,312,10323,614,55019,445,93217,124,66316,518,169
所有者权益(或股东权益)
实收资本(或股本)(万元)698,656702,998697,190666,303656,105
资本公积(万元)2,051,6932,248,8111,964,0311,845,1311,591,150
减:库存股(万元)1,404,455609,435375,973491,84336,684
专项储备(万元)1,5541,273------
盈余公积(万元)944,990796,636644,766507,910388,223
一般风险准备(万元)71,99258,79836,69536,69536,695
未确定的投资损失(万元)----------
未分配利润(万元)10,298,2768,707,4457,271,3635,876,2324,762,724
拟分配现金股利(万元)----------
外币报表折算差额(万元)----------
归属于母公司股东权益合计(万元)12,486,81211,751,62610,166,9168,307,2127,373,744
少数股东权益(万元)995,695672,084582,693938,240918,773
所有者权益(或股东权益)合计(万元)13,482,50812,423,71010,749,6109,245,4528,292,517
负债和所有者权益(或股东权益)总计(万元)38,794,61036,038,26030,195,54226,370,11524,810,686