上海电气601727资产负债表

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当前股价:4.31,市值:671 亿,动态市盈率PE:-1351.39, 合理估值PE:15,未来三年预期收益率:-33.61%。
其中,历史营业增长率:6.61%,净利增长率:-9.58%; 未来三年预估净利增长率:119.65% (24E:135.31%, 25E:142.18%, 26E:85.97%)。
  2023 2022 2021 2020 2019 2018 2017 2016 2015 2014
货币资金(万) 3016490.2 2634450 2535918.1 2424383.2 2146094.2 4247580.5 3722409.2 4341817.6 4024780.6 2998644.5
交易性金融资产(万) 749236.3 765743.8 760309.7 738791.4 696475.2 441945 51855 89809.3 75404.4 90810
衍生金融资产(万) 1279.8 5589 4410.1 9814.6 238.1 78.8 - - - -
应收票据(万) 399544.5 625728.5 781133.2 847737.7 622178.9 548504.4 1010600.4 665316.5 672105.2 639012.3
应收账款(万) 4047792.6 3827996.9 3342921.8 3279910.2 2933704.9 1884059.3 2790584.7 2713890.9 2552278.5 2605577.7
预付款项(万) 951172.4 1027696.7 1342408.9 1805707 1876441.6 1186695.3 955123.6 842818.6 860990.5 819416.9
应收利息(万) - 9870 13924.8 8728.9 10039.6 9397.1 3385.5 11318 5119.3 11999.4
应收股利(万) 6877.8 9621 10730.4 9922.8 8218.9 27028.7 7966 6104.2 7603.2 2578.4
其他应收款(万) 591538.9 596160.7 846415.6 874951.2 407166.9 451851.7 132479.8 172701.9 114534.7 142756.6
买入返售金融资产(万) 113562 113120.6 18820.2 7930.1 3080 - - - - -
存货(万) 3242370.5 3087191.4 3287946.9 2998605.7 2700449.9 2792929.7 3447380 2488325.9 2390018.4 2618500.3
划分为持有待售的资产(万) - - 4370.8 35087.5 978.8 - - - 444215.6 -
一年内到期的非流动资产(万) 197678.5 285767 282083 335992.5 382781 419152.6 481550.9 446683 246682.4 162520.6
其他流动资产(万) 1732217.1 2271900.5 1610520.3 1747728 1754413.3 1940593.4 1830922.8 1599597.7 1470915.4 1030928.1
流动资产合计(万) 19182671.8 20115363.3 20977584.4 22794594.9 19920094.5 15172794.7 14435726.1 13378409.9 12864677.2 11123208
发放贷款及垫款(万) 737006.7 159095.2 213813.8 32499.2 - - - - - -
可供出售金融资产(万) - - - - - - 139381.1 174093.6 156217.2 126461.7
持有至到期投资(万) 15257 15286.3 - - - - - - - -
长期应收款(万) 306719.3 332872.5 425819.9 592003.7 722303 519614.1 875597.1 697962.9 626267.6 387543.3
长期股权投资(万) 1100137.1 1118375.3 1140199 1371373.3 1511877.1 1356343.5 1070496.1 907985.8 695158.4 683269
投资性房地产(万) 60879.8 66017.2 82297.5 90017.7 113439.1 81406.9 83250.8 35396.9 13021.7 13764.3
固定资产净额(万) 2042731.2 2028230.8 1988938.7 1753796.9 1671563.7 1433318.4 1391277.6 1163897.7 1101929.1 1290733.9
在建工程(万) 193407.2 342795.1 502409.4 957355.1 732370 184589 255613.6 135086.1 98014.2 115913.1
工程物资(万) - - - - - - - - - -
无形资产(万) 1225681.3 1258298.6 1295689.3 901945.1 786447.9 867289.3 711724.7 548363.3 235904.5 252323
开发支出(万) 3166.1 3581.8 4063.6 8351.2 17038.8 13179 10434.1 8965.9 8317.2 7664.1
商誉(万) 324492.9 328872.3 395470.4 466795.8 364110.2 339894.2 264889.7 113601.1 17541.8 14807.3
长期待摊费用(万) 50414.5 55548.4 60884.8 48004 34634.6 27884.4 24715.1 7692.1 7823.1 39509.2
递延所得税资产(万) 830076.8 773315.2 807830.5 656852.9 577119 480122.3 398267.4 289783.8 290124.9 268347.9
其他非流动资产(万) 1379075.4 1337370 1336187.4 1157128.6 956748 813528.9 273202.5 102152 97368.8 31511.6
非流动资产合计(万) 9143984.9 8686721.9 9102634.6 8745678.5 8132264.4 6679391.8 5498849.8 4184981.2 3347688.5 3231848.4
资产总计(万) 28326656.7 28802085.2 30080219 31540273.4 28052358.9 21852186.5 19934575.9 17563391.1 16212365.7 14355056.4
短期借款(万) 827241.6 866089.5 1183636.6 1562738.4 1673394.4 858555.6 255350.8 214631 109224.2 489292.9
交易性金融负债(万) 3443.5 3201.7 2856.9 3758.2 3309.7 10454 - - - -
应付票据(万) 1207419.9 1606955.8 1657885.4 1208369.8 850699.3 638749.8 714472.8 591303.4 327610.7 489805.4
应付账款(万) 5961047.9 5739688.6 6130357.7 6585329.2 5792265.5 3888081.4 3374021.2 3069945.5 2820709.4 2693759.2
预收款项(万) 85995.9 78631.3 73804.7 62173.6 53504.8 34650.6 4410023.4 4365168 3892814.8 3610943.8
应付职工薪酬(万) 538157.9 495803 435855.7 456592.1 364026 307373.5 303335.9 251183.1 244036.2 224620.6
应交税费(万) 246602.8 203048.7 218020.2 293941.2 327219.1 269152.7 202957.2 232859.4 248338.1 206164.9
应付利息(万) - - 22202 37112.9 29300 13894.6 17639.4 14382 13844.3 12812.4
应付股利(万) 16552.1 39076.5 23370.1 22075 21725.7 30458.5 27479.6 31907.3 21889.3 22363.5
其他应付款(万) 797901.2 746870.8 814683.6 1067202.2 829162.7 666743.2 447008.5 461410.7 305849.3 297524.8
一年内到期的非流动负债(万) 689872 912036.1 827434 1063836.2 1033376.5 364690.3 317164.8 105392.8 198568.8 84292.8
其他流动负债(万) 1150116.5 1178161.1 1057395.7 1018178.9 847730.4 1222398.7 1061665.5 965207.1 1399198.7 1197855
流动负债合计(万) 16772458.1 16352544.3 16887934.1 18349235.4 16406114.2 11962326.8 11131972.8 10306069.1 9959877.4 9329817.2
长期借款(万) 3089386.8 2164769 2384541.7 1540845.2 1126841.8 958883.6 414544.2 99725.2 12398.7 85364.4
应付债券(万) 74930 74869.7 249044.5 248514.2 691772.7 1274924.5 1005802.7 1114837.7 1079280.3 199320.1
长期应付款(万) 56195.3 56285.5 58301.5 147952.2 171637.8 85646.8 94370.6 128526.3 56392.5 34794.5
长期应付职工薪酬(万) 18756.8 17585.4 22467.3 25456.2 25844.5 24567.4 27318.9 13343.7 14898.8 11118.6
专项应付款(万) - - - - - - 35962 26866.2 29295.3 59604
预计非流动负债(万) 302875.8 359297.6 291293 203866.2 143603.1 15632.8 10940.6 - - -
递延所得税负债(万) 61450.2 83632.1 77564.8 85426.7 90089 62889.5 33753 31292.7 24188 39134.3
长期递延收益(万) 133333.7 149121.2 165155.6 177459.3 163171 100450.8 105596 71199.9 66093.3 42483.4
其他非流动负债(万) 9506.4 16821.2 26681.6 1553 916.3 3202.3 2156.4 6817.2 6924 10913.1
非流动负债合计(万) 3861534.6 3030124.2 3377849.6 2506103.8 2487327.5 2526197.7 1730444.4 1492608.9 1289470.9 482732.4
负债合计(万) 20633992.7 19382668.5 20265783.7 20855339.2 18893441.7 14488524.5 12862417.2 11798678 11249348.3 9812549.6
实收资本(或股本)(万) 1557980.9 1557980.9 1570597.1 1518135.3 1515246.3 1472518.8 1472518.1 1343115.6 1282430.5 1282362.7
资本公积(万) 1947690 2183782.2 2204556 1933814 1997591.5 1655680.7 1653462.3 972060.5 553089.9 423466
减:库存股(万) - - 38227.1 38227.1 40474.1 - - - - -
其他综合收益(万) 2160.1 -2489.1 -50982.9 -13012.2 -3558.7 -13256.8 -4739.5 112878.5 101321.3 63693.6
专项储备(万) 13405.6 14378.6 14994.8 13831.3 13023.5 12983.6 12084.8 10370.1 9396.7 7009.2
盈余公积(万) 590652.4 590652.4 590652.4 590652.4 572069.5 524410 509192.7 460602.8 415881.8 415779.6
未分配利润(万) 1167899.8 1141926.3 1521842.5 2634889.7 2280687.6 2076683.3 1911189.9 1610247.9 1362988.4 1231328.1
归属于母公司股东权益合计(万) 5279788.8 5486231.3 5813432.8 6640083.4 6334585.6 5729019.6 5553708.3 4509275.4 3725108.6 3423639.2
少数股东权益(万) 2412875.2 3933185.4 4001002.5 4044850.8 2824331.6 1634642.4 1518450.4 1255437.7 1237908.8 1118867.6
所有者权益(或股东权益)合计(万) 7692664 9419416.7 9814435.3 10684934.2 9158917.2 7363662 7072158.7 5764713.1 4963017.4 4542506.8
负债和所有者权益(或股东权益)总计(万) 28326656.7 28802085.2 30080219 31540273.4 28052358.9 21852186.5 19934575.9 17563391.1 16212365.7 14355056.4
应收票据及应收账款(万) 4447337.1 4453725.4 4124055 4127647.9 3555883.8 - - - - -
应收款项融资(万) 135494.4 210558.9 114549.3 1091224.6 544095.4 - - - - -
其他应收款(合计)(万) 598416.7 615651.7 871070.8 893602.9 425425.4 - - - - -
在建工程(合计)(万) 193407.2 342795.1 502409.4 957355.1 732370 - - - - -
固定资产及清理(合计)(万) 2042731.2 2028230.8 1988938.7 1753796.9 1671563.7 - - - - -
使用权资产(万) 141028.4 140216.9 144183.2 111819.4 95209.9 - - - - -
应付票据及应付账款(万) 7168467.8 7346644.4 7788243.1 7793699 6642964.8 - - - - -
其他应付款(合计)(万) 814453.3 785947.3 860255.7 1126390.1 880188.4 - - - - -
租赁负债(万) 115099.6 107742.5 102799.6 75030.8 73451.3 - - - - -
长期应付款(合计)(万) 56195.3 56285.5 58301.5 147952.2 171637.8 - - - - -
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