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潍柴动力 000338 - 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)7,504,3366,221,6114,881,7623,820,9953,422,184
结算备付金(万元)----------
拆出资金(万元)----------
交易性金融资产(万元)638,719585,240445,106411,52038,407
衍生金融资产(万元)----------
应收票据(万元)960,2181,929,6491,592,0142,499,2662,529,124
应收账款(万元)1,819,0791,542,1881,428,5261,315,5361,357,254
预付款项(万元)156,960109,50299,671110,92355,980
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)1,8951,8123,7912,3752,526
应收股利(万元)2735,335501161523
其他应收款(万元)104,955133,83863,868--85,763
应收出口退税(万元)nullnull--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)3,158,5183,122,6162,471,7702,067,4291,985,082
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)335,790317,972265,804212,786177,897
其他流动资产(万元)310,316192,411192,076169,234379,278
流动资产合计(万元)16,063,83915,251,48112,618,50910,810,54610,034,017
非流动性资产
发放贷款及垫款(万元)----------
可供出售金融资产(万元)--------59,485
持有至到期投资(万元)----------
长期应收款(万元)952,196962,250844,762648,330519,781
长期股权投资(万元)671,307494,436471,114446,359263,894
其他长期投资(万元)----------
投资性房地产(万元)64,68568,21653,73059,34656,921
固定资产原值(万元)6,010,3645,534,0054,717,4824,928,3184,694,673
累计折旧(万元)2,669,8292,304,5242,036,5241,939,5621,946,407
固定资产净值(万元)3,340,5353,229,4812,680,9582,988,7562,748,266
固定资产减值准备(万元)21,76657,43949,36043,45241,526
固定资产(万元)3,318,7693,172,0422,631,5982,945,4072,706,740
在建工程(万元)603,212504,570540,853284,810121,816
工程物资(万元)--5014--59
固定资产清理(万元)24324126910390
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)2,090,8202,382,5712,343,5582,329,9462,383,995
开发支出(万元)21,24628,71213,95044,01551,585
商誉(万元)2,284,7042,466,5842,382,2522,303,7392,258,319
长期待摊费用(万元)29,41225,21625,43722,84628,343
股权分置流通权(万元)----------
递延所得税资产(万元)550,727625,121503,435445,845453,353
其他非流动资产(万元)82,10256,69168,77235,59025,417
非流动资产合计(万元)11,640,60411,823,53611,064,6599,717,0908,929,799
资产总计(万元)27,704,44227,075,01723,683,16720,527,63718,963,817
流动负债
短期借款(万元)222,222573,109201,469547,277317,489
向中央银行借款(万元)----------
吸收存款及同业存放(万元)----------
拆入资金(万元)----------
交易性金融负债(万元)11,1885,75013,19221,34448,288
衍生金融负债(万元)----------
应付票据(万元)2,779,7222,297,0492,244,640--1,236,145
应付账款(万元)3,959,6474,544,9923,674,850--3,065,479
预收账款(万元)--------581,491
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)596,512549,072558,900518,467481,031
应交税费(万元)158,734218,074206,458250,679270,026
应付利息(万元)5,1547,1088,64010,1299,539
应付股利(万元)29,48738,41730,52729,50120,746
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)701,530795,306611,933--772,325
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)1,076,0241,127,4651,299,836689,870559,625
其他流动负债(万元)583,651660,177671,785632,162485,170
流动负债合计(万元)11,538,22912,371,25810,587,6778,861,6967,847,353
非流动性负债
长期借款(万元)1,290,6671,202,6641,137,3661,090,8511,567,859
应付债券(万元)593,232870,2771,029,5281,226,5021,045,978
长期应付款(万元)711,928697,789462,932989,542921,843
专项应付款(万元)2,5472,6812,889--2,300
预计非流动负债(万元)44,50650,90831,56736,49834,492
长期递延收益(万元)427,232499,688460,857305,619312,166
递延所得税负债(万元)454,170504,983540,631577,271650,027
其他非流动负债(万元)711,572687,778391,190255,71922,621
非流动负债合计(万元)5,870,0476,660,4266,118,0185,440,0075,480,965
负债合计(万元)17,408,27619,031,68416,705,69514,301,70413,328,318
所有者权益(或股东权益)
实收资本(或股本)(万元)872,656793,387793,387799,724799,724
资本公积(万元)1,225,45618,05511,89011,37013,590
减:库存股(万元)------49,991--
专项储备(万元)27,16422,34319,31015,50611,836
盈余公积(万元)239,720163,02497,37367,42861,681
一般风险准备(万元)----------
未确定的投资损失(万元)----------
未分配利润(万元)4,838,4964,348,5053,728,2373,244,3962,789,878
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)7,090,6805,120,2324,522,3943,931,3733,523,952
少数股东权益(万元)3,205,4862,923,1012,455,0782,294,5592,111,547
所有者权益(或股东权益)合计(万元)10,296,1668,043,3336,977,4736,225,9335,635,499
负债和所有者权益(或股东权益)总计(万元)27,704,44227,075,01723,683,16720,527,63718,963,817