中国重汽(000951):半年报财务报表
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时间:2025年08月28日 06:16:24 中财网 |
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原标题: 中国重汽:半年报财务报表

2025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)
项目 | 2025年6月30日 | | 2024年12月31日 | | | 合并 | 母公司 | 合并 | 母公司 | 流动资产: | | | | | 货币资金 | 10,822,010,153.44 | 7,150,899,335.32 | 12,950,158,528.57 | 8,721,745,152.37 | 交易性金融资产 | 502,956,164.39 | 502,956,164.39 | | | 应收票据 | 1,176,583,290.62 | 1,154,761,490.62 | 1,681,699,769.95 | 1,668,011,003.51 | 应收账款 | 11,415,516,063.36 | 9,689,295,856.69 | 9,208,072,796.95 | 8,314,951,413.00 | 应收款项融资 | 7,683,012,765.35 | 5,743,529,254.57 | 2,771,553,152.87 | 1,773,378,098.79 | 预付款项 | 163,617,683.31 | 108,521,911.87 | 111,229,906.23 | 79,480,106.41 | 其他应收款 | 122,013,774.45 | 492,929,558.39 | 93,384,407.83 | 797,932,212.48 | 存货 | 2,154,828,228.36 | 1,662,609,073.83 | 3,453,554,535.33 | 2,908,092,948.20 | 其他流动资产 | 53,626,655.60 | 62,035.85 | 240,870,985.59 | 170,639,060.19 | 流动资产合计 | 34,094,164,778.88 | 26,505,564,681.53 | 30,510,524,083.32 | 24,434,229,994.95 | 非流动资产: | | | | | 长期股权投资 | | 288,513,887.24 | | 288,513,887.24 | 固定资产 | 3,977,397,030.09 | 3,233,665,518.85 | 4,149,030,836.41 | 3,370,765,362.91 | 在建工程 | 392,479,109.78 | 378,983,421.20 | 406,412,863.37 | 389,085,515.67 | 无形资产 | 797,907,181.73 | 666,559,491.82 | 808,205,416.42 | 674,852,694.74 | 递延所得税资产 | 542,885,208.19 | 406,777,882.31 | 517,079,452.79 | 440,765,950.19 | 其他非流动资产 | 5,625,327,066.88 | 4,048,613,545.84 | 4,963,263,151.01 | 3,702,788,123.16 | 非流动资产合计 | 11,335,995,596.67 | 9,023,113,747.26 | 10,843,991,720.00 | 8,866,771,533.91 | 资产总计 | 45,430,160,375.55 | 35,528,678,428.79 | 41,354,515,803.32 | 33,301,001,528.86 | 流动负债: | | | | | 短期借款 | | | | | 应付票据 | 9,150,090,723.57 | 7,228,199,234.84 | 9,121,257,308.66 | 6,788,208,578.07 | 应付账款 | 13,671,981,456.79 | 9,986,323,734.89 | 10,239,602,414.18 | 8,046,756,920.56 | 合同负债 | 531,133,201.25 | 505,272,774.45 | 749,221,522.19 | 680,813,021.46 | 应付职工薪酬 | 256,198,606.34 | 179,552,921.06 | 252,927,633.75 | 178,709,489.08 | 应交税费 | 426,269,913.21 | 292,246,968.89 | 173,810,253.78 | 115,384,487.10 | 其他应付款 | 3,124,250,570.36 | 2,370,298,979.86 | 2,659,212,477.71 | 2,198,611,124.98 | 其中:应付利息 | | | | | 应付股利 | 525,292,152.28 | 245,592,152.28 | 59,200,000.00 | | 其他流动负债 | 1,195,173,612.32 | 728,506,889.00 | 1,323,533,340.63 | 1,066,393,975.41 | 流动负债合计 | 28,355,098,083.84 | 21,290,401,502.99 | 24,519,564,950.90 | 19,074,877,596.66 | 非流动负债: | | | | | 长期应付职工薪酬 | 182,056,372.35 | 114,697,305.47 | 188,971,443.33 | 120,512,032.11 | 预计负债 | 11,493,502.56 | 11,293,502.56 | 12,806,176.97 | 10,598,167.77 | 递延收益 | 197,834,063.47 | 161,766,705.67 | 202,107,403.38 | 164,721,214.37 | 非流动负债合计 | 391,383,938.38 | 287,757,513.70 | 403,885,023.68 | 295,831,414.25 | 负债合计 | 28,746,482,022.22 | 21,578,159,016.69 | 24,923,449,974.58 | 19,370,709,010.91 | 股东权益: | | | | | 股本 | 1,174,869,360.00 | 1,174,869,360.00 | 1,174,869,360.00 | 1,174,869,360.00 | 资本公积 | 4,936,084,090.83 | 4,933,762,868.46 | 4,933,288,784.25 | 4,931,323,651.92 | 减:库存股 | 75,105,912.41 | 75,105,912.41 | 75,105,912.41 | 75,105,912.41 | 其他综合收益 | -26,873,133.99 | -19,313,541.07 | -22,337,135.45 | -14,763,949.56 | 专项储备 | 30,589,044.85 | 28,874,333.04 | 22,347,253.36 | 21,490,302.60 | 盈余公积 | 989,211,714.64 | 989,211,714.64 | 989,211,714.64 | 989,211,714.64 | 未分配利润 | 8,497,749,572.99 | 6,918,220,589.44 | 8,302,564,422.85 | 6,903,267,350.76 | 归属于母公司股东权益合计 | 15,526,524,736.91 | 13,950,519,412.10 | 15,324,838,487.24 | 13,930,292,517.95 | 少数股东权益 | 1,157,153,616.42 | | 1,106,227,341.50 | | 股东权益合计 | 16,683,678,353.33 | 13,950,519,412.10 | 16,431,065,828.74 | 13,930,292,517.95 | 负债和股东权益总计 | 45,430,160,375.55 | 35,528,678,428.79 | 41,354,515,803.32 | 33,301,001,528.86 | 中国重汽集团济南卡车股份有限公司
2025年1-6月合并及公司利润表
(除特别注明外,金额单位为人民币元)
项目 | 本年金额 | | 上年金额 | | | 合并 | 母公司 | 合并 | 母公司 | 一、营业总收入 | 26,161,569,226.76 | 21,504,627,872.62 | 24,400,520,664.24 | 19,687,269,431.81 | 其中:营业收入 | 26,161,569,226.76 | 21,504,627,872.62 | 24,400,520,664.24 | 19,687,269,431.81 | 二、营业总成本 | 24,931,933,106.42 | 21,174,791,791.04 | 23,312,392,781.76 | 19,404,194,318.38 | 其中:营业成本 | 24,199,535,164.62 | 20,625,134,778.60 | 22,571,817,166.04 | 18,862,303,563.44 | 税金及附加 | 99,346,951.57 | 70,261,080.80 | 85,575,410.25 | 58,620,549.93 | 销售费用 | 179,793,281.52 | 143,149,688.25 | 183,102,887.50 | 145,813,200.40 | 管理费用 | 184,043,939.29 | 141,789,280.22 | 191,675,970.67 | 159,224,391.57 | 研发费用 | 387,752,227.57 | 275,442,787.94 | 402,577,159.81 | 270,121,382.72 | 财务费用 | -118,538,458.15 | -80,985,824.77 | -122,355,812.51 | -91,888,769.68 | 加:其他收益 | 5,818,905.27 | 4,077,659.00 | 4,202,585.00 | 2,675,339.33 | 投资收益(损失以“-”号填列) | -23,965,885.95 | 212,825,716.60 | | 163,200,000.00 | 公允价值变动收益(损失以“-”号填列) | 2,956,164.39 | 2,956,164.39 | 8,381,400.65 | 6,479,178.09 | 信用减值损失(损失以“-”号填列) | -7,178,687.01 | -252,337.18 | 79,737,399.10 | 86,390,115.71 | 资产减值损失(损失以“-”号填列) | -70,395,863.88 | -69,842,357.90 | -194,825,146.44 | -189,967,714.32 | 资产处置收益(损失以“-”号填列) | 716,878.30 | 716,878.30 | 83,682.00 | | 三、营业利润(亏损以“-”号填列) | 1,137,587,631.46 | 480,317,804.79 | 985,707,802.79 | 351,852,032.24 | 加:营业外收入 | 53,405,102.90 | 45,294,667.29 | 47,610,003.47 | 36,860,565.39 | 减:营业外支出 | 584,572.22 | 1,462,001.56 | 2,464,271.90 | 1,212,484.66 | 四、利润总额(亏损总额以“-”号填列) | 1,190,408,162.14 | 524,150,470.52 | 1,030,853,534.36 | 387,500,112.97 | 减:所得税费用 | 250,500,316.05 | 35,754,276.68 | 186,311,482.32 | -4,580,859.03 | 五、净利润(净亏损以“-”号填列) | 939,907,846.09 | 488,396,193.84 | 844,542,052.04 | 392,080,972.00 | 1.持续经营净利润(净亏损以“-”号填列) | 939,907,846.09 | 488,396,193.84 | 844,542,052.04 | 392,080,972.00 | 1.归属于母公司所有者的净利润 | 668,628,105.30 | 488,396,193.84 | 618,509,989.47 | 392,080,972.00 | 2.少数股东损益 | 271,279,740.79 | | 226,032,062.57 | | 六、其他综合收益的税后净额 | -5,213,587.77 | -4,549,591.51 | -10,342,067.45 | -7,281,699.83 | 归属母公司所有者的其他综合收益的税后净额 | -4,535,998.54 | -4,549,591.51 | -8,605,230.23 | -7,281,699.83 | (一)不能重分类进损益的其他综合收益 | 343,768.47 | 141,429.65 | -4,033,822.59 | -3,244,098.62 | (二)将重分类进损益的其他综合收益 | -4,879,767.01 | -4,691,021.16 | -4,571,407.64 | -4,037,601.21 | 归属于少数股东的其他综合收益的税后净额 | -677,589.23 | | -1,736,837.22 | | 七、综合收益总额 | 934,694,258.32 | 483,846,602.33 | 834,199,984.59 | 384,799,272.17 | 归属于母公司所有者的综合收益总额 | 664,092,106.76 | 483,846,602.33 | 609,904,759.24 | 384,799,272.17 | 归属于少数股东的综合收益总额 | 270,602,151.56 | | 224,295,225.35 | | 八、每股收益: | | | | | (一)基本每股收益 | 0.57 | | 0.53 | | (二)稀释每股收益 | 0.57 | | 0.53 | | 中国重汽集团济南卡车股份有限公司
2025年1-6月份合并及公司现金流量表
(除特别注明外,金额单位为人民币元)
项目 | 本期金额 | | 上期金额 | | | 合并 | 母公司 | 合并 | 母公司 | 一、经营活动产生的现金流量: | | | | | 销售商品、提供劳务收到的现金 | 16,710,454,382.65 | 12,550,361,487.89 | 23,625,628,925.26 | 18,873,633,439.52 | 收到的税费返还 | 163,260,798.59 | 142,353,957.61 | 136,737,132.63 | 118,122,937.96 | 收到其他与经营活动有关的现金 | 498,183,523.46 | 256,109,499.45 | 658,407,477.35 | 118,025,563.83 | 经营活动现金流入小计 | 17,371,898,704.70 | 12,948,824,944.95 | 24,420,773,535.24 | 19,109,781,941.31 | 购买商品、接受劳务支付的现金 | 15,819,405,616.59 | 12,312,120,439.19 | 17,388,358,828.00 | 13,529,517,974.39 | 支付给职工以及为职工支付的现金 | 799,825,362.45 | 583,607,391.91 | 743,021,709.61 | 551,006,014.79 | 支付的各项税费 | 684,177,234.24 | 260,896,050.29 | 627,807,302.49 | 271,909,254.80 | 支付其他与经营活动有关的现金 | 721,961,625.87 | 440,441,670.98 | 618,588,150.68 | 129,921,261.59 | 经营活动现金流出小计 | 18,025,369,839.15 | 13,597,065,552.37 | 19,377,775,990.78 | 14,482,354,505.57 | 经营活动产生的现金流量净额 | -653,471,134.45 | -648,240,607.42 | 5,042,997,544.46 | 4,627,427,435.74 | 二、投资活动产生的现金流量: | | | | | 收回投资收到的现金 | 3,500,000,000.00 | 2,600,000,000.00 | 2,100,000,000.00 | 1,000,000,000.00 | 取得投资收益收到的现金 | 2,608,817.37 | 264,637,979.01 | | | 处置固定资产、无形资产和其他长期资产收回的现金净额 | 344,165.94 | 339,765.08 | 223,240.21 | 131,262.90 | 投资活动现金流入小计 | 3,502,952,983.31 | 2,864,977,744.09 | 2,100,223,240.21 | 1,000,131,262.90 | 购建固定资产、无形资产和其他长期资产支付的现金 | 164,393,319.08 | 155,214,705.44 | 305,646,775.11 | 290,692,645.78 | 投资所支付的现金 | 4,700,000,000.00 | 3,200,000,000.00 | 4,500,000,000.00 | 2,600,000,000.00 | 支付其他与投资活动有关的现金 | | | | | 投资活动现金流出小计 | 4,864,393,319.08 | 3,355,214,705.44 | 4,805,646,775.11 | 2,890,692,645.78 | 投资活动产生的现金流量净额 | -1,361,440,335.77 | -490,236,961.35 | -2,705,423,534.90 | -1,890,561,382.88 | 三、筹资活动产生的现金流量: | | | | | 吸收投资收到的现金 | | | | | 取得借款收到的现金 | | | | | 收到其他与筹资活动有关的现金 | | | | | 筹资活动现金流入小计 | | | | | 偿还债务支付的现金 | | | | | 分配股利、利润或偿付利息支付的现金 | 227,850,802.88 | 227,850,802.88 | 258,053,760.81 | 258,053,760.81 | 其中:子公司支付给少数股东的股利、利润 | | | | | 筹资活动现金流出小计 | 227,850,802.88 | 227,850,802.88 | 258,053,760.81 | 258,053,760.81 | 筹资活动产生的现金流量净额 | -227,850,802.88 | -227,850,802.88 | -258,053,760.81 | -258,053,760.81 | 四、现金及现金等价物净增加额 | -2,242,762,273.10 | -1,366,328,371.65 | 2,079,520,248.75 | 2,478,812,292.05 | 加:期初现金及现金等价物余额 | 11,555,667,164.24 | 7,702,191,691.33 | 11,231,310,811.31 | 8,168,480,098.46 | 五、期末现金及现金等价物余额 | 9,312,904,891.14 | 6,335,863,319.68 | 13,310,831,060.06 | 10,647,292,390.51 |
公司法定代表人:刘洪勇 主管会计工作负责人:毕研勋 会计机构负责人:史志刚
中国重汽集团济南卡车股份有限公司
2025年1-6月合并所有者权益变动表
(除特别注明外,金额单位为人民币元)
项目 | 本期金额 | | | 上期金额 | | | | | | | | | | | | | | | | | | 归属于母公司所有者权益 | | | | | | | | 少数股东权益 | 所有者权益合计 | 归属于母公司所有者权益 | 少数股东权益 | 所有者权益合计 | | | | | | | | | 股本 资本公积 减:库存股 其他综合收益 专项储备 盈余公积 未分配利润 小计 | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | 股本 | 资本公积 | 减:库存股 | 其他综合收益 | 专项储备 | 盈余公积 | 未分配利润 | 小计 | | | 一、上年期末余额 | 1,174,869,360.00 | 4,933,288,784.25 | 75,105,912.41 | -22,337,135.45 | 22,347,253.36 | 989,211,714.64 | 8,302,564,422.85 | 15,324,838,487.24 | 1,106,227,341.50 | 16,431,065,828.74 | 1,174,869,360.00 | 4,930,027,593.24 | 75,105,912.41 | -9,486,486.08 | 12,386,660.87 | 989,211,714.64 | 7,703,154,787.32 | 14,725,057,717.58 | 998,909,954.31 | 15,723,967,671.89 | 加:会计政策变更 | | | | | | | | - | | - | | | | | | | | - | | - | 前期差错更正 | | | | | | | | - | | - | | | | | | | | - | | - | 同一控制下企业合并 | | | | | | | | - | | - | | | | | | | | - | | - | 其他 | | | | | | | | - | | - | | | | | | | | - | | - | 二、本年期初余额 | 1,174,869,360.00 | 4,933,288,784.25 | 75,105,912.41 | -22,337,135.45 | 22,347,253.36 | 989,211,714.64 | 8,302,564,422.85 | 15,324,838,487.24 | 1,106,227,341.50 | 16,431,065,828.74 | 1,174,869,360.00 | 4,930,027,593.24 | 75,105,912.41 | -9,486,486.08 | 12,386,660.87 | 989,211,714.64 | 7,703,154,787.32 | 14,725,057,717.58 | 998,909,954.31 | 15,723,967,671.89 | 三、本期增减变动金额(减少以“-”号
填列) | - | 2,795,306.58 | - | -4,535,998.54 | 8,241,791.49 | - | 195,185,150.14 | 201,686,249.67 | 50,926,274.92 | 252,612,524.59 | - | 465,884.41 | - | -8,605,230.23 | 5,829,932.23 | - | 78,434,322.11 | 76,124,908.52 | 68,124,006.74 | 144,248,915.26 | (一)综合收益总额 | | | | -4,535,998.54 | | | 668,628,105.30 | 664,092,106.76 | 270,602,151.56 | 934,694,258.32 | | | | -8,605,230.23 | | | 618,509,989.47 | 609,904,759.24 | 224,295,225.35 | 834,199,984.59 | (二)所有者投入和减少资本 | - | 2,795,306.58 | - | - | | - | - | 2,795,306.58 | - | 2,795,306.58 | - | 465,884.41 | - | - | | - | - | 465,884.41 | - | 465,884.41 | 1.所有者投入的普通股 | | | | | | | | - | | - | | | | | | | | - | | - | 2.其他权益工具持有者投入资本 | | | | | | | | - | | - | | | | | | | | - | | - | 3.股份支付计入所有者权益的金额 | | 2,795,306.58 | | | | | | 2,795,306.58 | | 2,795,306.58 | | 465,884.41 | | | | | | 465,884.41 | | 465,884.41 | 4.其他 | | | - | | | | | - | | - | | | | | | | | - | | - | (三)利润分配 | - | - | | - | | - | -473,442,955.16 | -473,442,955.16 | -220,500,000.00 | -693,942,955.16 | - | - | | - | | - | -540,075,667.36 | -540,075,667.36 | -156,800,000.00 | -696,875,667.36 | 1.提取盈余公积 | | | | | | | | - | | - | | | | | | | | - | | - | 2.提取一般风险准备 | | | | | | | | - | | - | | | | | | | | - | | - | 3.对所有者(或股东)的分配 | | | | | | | -473,442,955.16 | -473,442,955.16 | -220,500,000.00 | -693,942,955.16 | | | | | | | -540,075,667.36 | -540,075,667.36 | -156,800,000.00 | -696,875,667.36 | 4.其他 | | | | | | | | - | | - | | | | | | | | - | | - | (四)所有者权益内部结转 | - | - | | - | | - | - | - | - | - | - | - | | - | | - | - | - | - | - | 1.资本公积转增资本(或股本) | | | | | | | | - | | - | | | | | | | | - | | - | 2.盈余公积转增资本(或股本) | | | | | | | | - | | - | | | | | | | | - | | - | 3.盈余公积弥补亏损 | | | | | | | | - | | - | | | | | | | | - | | - | 4.设定受益计划变动额结转留存收益 | | | | | | | | - | | - | | | | | | | | - | | - | 5.其他综合收益结转留存收益 | | | | | | | | - | | - | | | | | | | | - | | - | 6.其他 | | | | | | | | - | | - | | | | | | | | - | | - | (五)专项储备 | - | - | | - | 8,241,791.49 | - | - | 8,241,791.49 | 824,123.36 | 9,065,914.85 | - | - | | - | 5,829,932.23 | - | - | 5,829,932.23 | 628,781.39 | 6,458,713.62 | 1.本期提取 | | | | | 14,225,388.95 | | | 14,225,388.95 | 2,134,875.88 | 16,360,264.83 | | | | | 13,607,841.13 | | | 13,607,841.13 | 2,084,215.13 | 15,692,056.26 | 2.本期使用 | | | | | -5,983,597.46 | | | -5,983,597.46 | -1,310,752.52 | -7,294,349.98 | | | | | -7,777,908.90 | | | -7,777,908.90 | -1,455,433.74 | -9,233,342.64 | (六)其他 | | | | | | | | - | | - | | | | | | | | - | | - | 四、本期期末余额 | 1,174,869,360.00 | 4,936,084,090.83 | 75,105,912.41 | -26,873,133.99 | 30,589,044.85 | 989,211,714.64 | 8,497,749,572.99 | 15,526,524,736.91 | 1,157,153,616.42 | 16,683,678,353.33 | 1,174,869,360.00 | 4,930,493,477.65 | 75,105,912.41 | -18,091,716.31 | 18,216,593.10 | 989,211,714.64 | 7,781,589,109.43 | 14,801,182,626.10 | 1,067,033,961.05 | 15,868,216,587.15 |
公司法定代表人:刘洪勇 主管会计工作负责人:毕研勋 会计机构负责人:史志刚(未完)

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