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苏宁电器财务报表及分析

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苏宁电器财务报表及分析

苏宁电器财务报表及分析苏宁电器(002024)资产负债表单位:元报表日期2011-12-312011-09-302011-06-302011-03-312010-12-31流动资产货币资金22,740,100,000.0021,128,700,000.0019,975,000,000.0019,707,900,000.0019,351,800,000.00结算备付金----------拆出资金----------交易性金融资产----------衍生金融资产----------应收票据7,26
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导读苏宁电器财务报表及分析苏宁电器(002024)资产负债表单位:元报表日期2011-12-312011-09-302011-06-302011-03-312010-12-31流动资产货币资金22,740,100,000.0021,128,700,000.0019,975,000,000.0019,707,900,000.0019,351,800,000.00结算备付金----------拆出资金----------交易性金融资产----------衍生金融资产----------应收票据7,26
苏宁电器财务报表及分析

苏宁电器(002024) 资产负债表 

单位:元
报表日期2011-12-312011-09-302011-06-302011-03-312010-12-31
流动资产
货币资金22,740,100,000.0021,128,700,000.0019,975,000,000.0019,707,900,000.0019,351,800,000.00
结算备付金----------
拆出资金----------
交易性金融资产----------
衍生金融资产----------
应收票据7,265,000.003,004,000.00----2,505,000.00
应收账款1,841,780,000.001,394,820,000.001,427,400,000.001,292,610,000.001,104,610,000.00
预付款项3,3,210,000.002,483,340,000.002,603,980,000.003,192,260,000.002,741,400,000.00
应收保费----------
应收分保账款----------
应收分保合同准备金----------
应收利息74,821,000.0067,994,000.0069,538,000.0053,161,000.0031,385,000.00
应收股利----------
其他应收款382,375,000.00494,424,000.00444,623,000.00363,638,000.00975,737,000.00
应收出口退税----------
应收补贴款----------
应收保证金----------
内部应收款----------
买入返售金融资产----------
存货13,426,700,000.0014,579,500,000.009,5,410,000.008,672,270,000.009,474,450,000.00
待摊费用----------
待处理流动资产损益----------
一年内到期的非流动资产----------
其他流动资产1,309,060,000.001,187,380,000.00953,669,000.00795,666,000.00793,656,000.00
流动资产合计43,425,300,000.0041,339,200,000.0035,038,600,000.0034,077,500,000.0034,475,600,000.00
非流动资产
发放贷款及垫款----------
可供出售金融资产1,7,000.00991,000.00------
持有至到期投资----------
长期应收款476,5,000.00434,109,000.00139,524,000.00147,213,000.00130,768,000.00
长期股权投资554,793,000.00549,993,000.00762,610,000.00776,070,000.00792,6,000.00
其他长期投资----------
投资性房地产684,420,000.00505,367,000.00383,560,000.00381,271,000.00387,134,000.00
固定资产原值8,340,110,000.00--7,080,490,000.00--4,569,260,000.00
累计折旧980,603,000.00--790,220,000.00--654,947,000.00
固定资产净值7,359,500,000.00--6,290,270,000.00--3,914,320,000.00
固定资产减值准备12,037,000.00--------
固定资产净额7,347,470,000.006,500,330,000.006,290,270,000.005,240,440,000.003,914,320,000.00
在建工程1,251,500,000.001,269,040,000.00992,162,000.001,224,450,000.002,061,750,000.00
工程物资2,002,000.00523,000.0026,565,000.00----
固定资产清理----------
生产性生物资产----------
公益性生物资产----------
油气资产----------
无形资产4,368,260,000.003,624,460,000.002,026,160,000.001,439,750,000.001,309,340,000.00
开发支出93,8,000.0035,906,000.0027,350,000.0024,874,000.0022,125,000.00
商誉226,623,000.00226,623,000.00616,000.00616,000.00616,000.00
长期待摊费用841,692,000.00729,586,000.00630,273,000.00556,334,000.00529,531,000.00
股权分置流通权----------
递延所得税资产512,150,000.00367,094,000.00300,725,000.00300,4,000.00283,320,000.00
其他非流动资产----------
非流动资产合计16,361,100,000.0014,244,000,000.0011,579,800,000.0010,091,700,000.009,431,800,000.00
资产总计59,786,500,000.0055,583,200,000.0046,618,500,000.0044,169,200,000.0043,907,400,000.00
流动负债
短期借款1,665,690,000.00863,931,000.00400,831,000.00349,555,000.00317,7,000.00
向银行借款----------
吸收存款及同业存放----------
拆入资金----------
交易性金融负债----------
衍生金融负债----------
应付票据20,617,600,000.0019,493,900,000.0017,176,400,000.0015,477,200,000.0014,277,300,000.00
应付账款8,525,860,000.008,634,920,000.004,887,750,000.005,352,140,000.006,839,020,000.00
预收款项350,051,000.00456,694,000.00363,513,000.00372,700,000.00393,820,000.00
卖出回购金融资产款----------
应付手续费及佣金----------
应付职工薪酬273,558,000.00348,830,000.00277,866,000.00208,108,000.00201,295,000.00
应交税费790,756,000.00-134,128,000.00-18,156,000.00152,228,000.00525,750,000.00
应付利息5,305,000.00--------
应付股利--------9,397,000.00
其他应交款----------
应付保证金----------
内部应付款----------
其他应付款2,743,920,000.002,029,740,000.001,674,530,000.001,290,930,000.001,539,020,000.00
预提费用----------
预计流动负债----------
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----------
国际票证结算----------
国内票证结算----------
递延收益----------
应付短期债券----------
一年内到期的非流动负债120,029,000.0098,230,000.0098,555,000.0094,4,000.00112,178,000.00
其他流动负债545,502,000.00409,9,000.00299,435,000.00225,067,000.00318,755,000.00
流动负债合计35,638,300,000.0032,201,800,000.0025,160,700,000.0023,522,400,000.0024,534,300,000.00
非流动负债
长期借款----------
应付债券----------
长期应付款----------
专项应付款----------
预计非流动负债101,135,000.0075,359,000.00------
递延所得税负债183,239,000.00182,287,000.0034,131,000.0034,247,000.0034,395,000.00
其他非流动负债833,299,000.00632,562,000.00616,2,000.00551,077,000.00493,248,000.00
非流动负债合计1,117,670,000.000,208,000.00650,395,000.00585,324,000.00527,3,000.00
负债合计36,755,900,000.0033,092,000,000.0025,811,100,000.0024,107,700,000.0025,062,000,000.00
所有者权益
实收资本(或股本)

6,996,210,000.006,996,210,000.006,996,210,000.006,996,210,000.006,996,210,000.00
资本公积517,074,000.00786,170,000.00742,543,000.00698,916,000.00655,288,000.00
库存股----------
专项储备----------
盈余公积1,007,130,000.00746,529,000.00746,529,000.00746,529,000.00746,529,000.00
一般风险准备----------
未确定的投资损失----------
未分配利润13,793,200,000.0012,3,700,000.0011,707,700,000.0011,049,400,000.009,932,870,000.00
拟分配现金股利----------
外币报表折算差额14,680,000.0030,385,000.009,157,000.0010,600,000.007,294,000.00
归属于母公司股东权益合计22,328,300,000.0021,203,000,000.0020,202,100,000.0019,501,700,000.0018,338,200,000.00
少数股东权益702,204,000.001,288,180,000.00605,209,000.00559,724,000.00507,202,000.00
所有者权益(或股东权益)合计

23,030,500,000.0022,491,200,000.0020,807,300,000.0020,061,400,000.0018,845,400,000.00
负债和所有者权益(或股东权益)总计

59,786,500,000.0055,583,200,000.0046,618,500,000.0044,169,200,000.0043,907,400,000.00
苏宁电器(002024) 现金流量表

单位:元

报告期2011-12-312011-09-302011-06-302011-03-312010-12-31
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107,079,000,000.0077,302,100,000.0053,070,900,000.0023,468,400,000.0086,811,100,000.00
客户存款和同业存放款项净增加额----------
向银行借款净增加额----------
向其他金融机构拆入资金净增加额----------
收到原保险合同保费取得的现金----------
收到再保险业务现金净额----------
保户储金及投资款净增加额----------
处置交易性金融资产净增加额----------
收取利息、手续费及佣金的现金----------
拆入资金净增加额----------
回购业务资金净增加额----------
收到的税费返还2,986,000.001,922,000.00----1,1,000.00
收到的其他与经营活动有关的现金2,809,980,000.002,336,740,000.00543,344,000.00460,439,000.001,859,410,000.00
经营活动现金流入小计109,2,000,000.0079,0,800,000.0053,614,200,000.0023,928,800,000.0088,671,600,000.00
购买商品、接受劳务支付的现金86,765,000,000.0065,569,000,000.0045,783,500,000.0021,835,900,000.0072,265,200,000.00
客户贷款及垫款净增加额----------
存放银行和同业款项净增加额----------
支付原保险合同赔付款项的现金----------
支付利息、手续费及佣金的现金----------
支付保单红利的现金----------
支付给职工以及为职工支付的现金3,923,250,000.002,576,810,000.001,513,600,000.00757,537,000.002,369,110,000.00
支付的各项税费4,250,250,000.003,352,960,000.002,591,440,000.001,125,800,000.003,256,180,000.00
支付的其他与经营活动有关的现金8,3,720,000.006,131,210,000.003,453,920,000.002,011,730,000.006,9,850,000.00
经营活动现金流出小计103,303,000,000.0077,630,000,000.0053,342,400,000.0025,730,900,000.0084,790,300,000.00
经营活动产生的现金流量净额6,588,520,000.002,010,770,000.00271,773,000.00-1,802,120,000.003,881,340,000.00
二、投资活动产生的现金流量:
收回投资所收到的现金700,000,000.00700,000,000.00700,000,000.00700,000,000.00--
取得投资收益所收到的现金12,000,000.00--------
处置固定资产、无形资产和其他长期资产所收回的现金净额46,527,000.0020,916,000.007,010,000.001,6,000.002,695,000.00
处置子公司及其他营业单位收到的现金净额234,459,000.00--------
收到的其他与投资活动有关的现金----------
减少质押和定期存款所收到的现金----------
投资活动现金流入小计992,986,000.00720,916,000.00707,010,000.00701,6,000.002,695,000.00
购建固定资产、无形资产和其他长期资产所支付的现金6,093,600,000.004,239,490,000.001,817,780,000.00908,146,000.004,679,730,000.00
投资所支付的现金8,837,000.009,000,000.00----983,835,000.00
质押贷款净增加额----------
取得子公司及其他营业单位支付的现金净额---238,975,000.00-2,922,000.00----
支付的其他与投资活动有关的现金----------
增加质押和定期存款所支付的现金----------
投资活动现金流出小计6,983,430,000.004,009,520,000.001,814,860,000.00908,146,000.005,663,570,000.00
投资活动产生的现金流量净额-5,990,450,000.00-3,288,600,000.00-1,107,850,000.00-206,500,000.00-5,660,870,000.00
三、筹资活动产生的现金流量:
吸收投资收到的现金48,138,000.0048,138,000.0042,566,000.0035,670,000.0041,226,000.00
其中:子公司吸收少数股东投资收到的现金48,138,000.0048,138,000.0042,566,000.0035,670,000.0041,226,000.00
取得借款收到的现金1,382,310,000.00546,143,000.0083,043,000.0031,766,000.00412,883,000.00
发行债券收到的现金----------
收到其他与筹资活动有关的现金----------
筹资活动现金流入小计1,430,450,000.00594,281,000.00125,609,000.0067,436,000.00454,109,000.00
偿还债务支付的现金34,416,000.00------95,094,000.00
分配股利、利润或偿付利息所支付的现金716,634,000.00712,754,000.00710,9,000.0010,398,000.00235,565,000.00
----------
支付其他与筹资活动有关的现金----------
筹资活动现金流出小计751,050,000.00712,754,000.00710,9,000.0010,398,000.00330,659,000.00
筹资活动产生的现金流量净额679,401,000.00-118,473,000.00-585,355,000.0057,038,000.00123,450,000.00
附注
汇率变动对现金及现金等价物的影响-4,781,000.0012,8,000.001,770,000.00-2,969,000.007,523,000.00
现金及现金等价物净增加额1,272,690,000.00-1,383,420,000.00-1,419,660,000.00-1,954,560,000.00-1,8,560,000.00
期初现金及现金等价物余额11,676,500,000.0011,676,500,000.0011,676,500,000.0011,676,500,000.0013,325,000,000.00
期末现金及现金等价物余额12,949,200,000.0010,293,000,000.0010,256,800,000.009,721,910,000.0011,676,500,000.00
净利润4,886,010,000.00--2,528,590,000.00--4,105,510,000.00
少数股东权益----------
未确认的投资损失----------
资产减值准备69,537,000.00--20,026,000.00--75,924,000.00
固定资产折旧、油气资产折耗、生产性物资折旧392,738,000.00--162,682,000.00--209,134,000.00
无形资产摊销157,749,000.00--74,616,000.00--107,714,000.00
长期待摊费用摊销421,982,000.00--167,981,000.00--205,236,000.00
待摊费用的减少----------
预提费用的增加----------
处置固定资产、无形资产和其他长期资产的损失1,970,000.00--1,168,000.00--3,717,000.00
固定资产报废损失----------
公允价值变动损失----------
递延收益增加(减:减少)----------
预计负债----------
财务费用11,558,000.00--1,946,000.00--1,483,000.00
投资损失-152,192,000.00--29,8,000.00---10,625,000.00
递延所得税资产减少-228,830,000.00---17,405,000.00---31,362,000.00
递延所得税负债增加2,392,000.00------716,000.00
存货的减少-3,756,0,000.00---175,326,000.00---3,125,580,000.00
经营性应收项目的减少-2,331,320,000.00--345,436,000.00---1,860,600,000.00
经营性应付项目的增加7,113,820,000.00---2,867,830,000.00--4,200,070,000.00
已完工尚未结算款的减少(减:增加)

----------
已结算尚未完工款的增加(减:减少)

----------
其他----------
经营活动产生现金流量净额6,588,520,000.00--271,773,000.00--3,881,340,000.00
债务转为资本--------2,332,070,000.00
一年内到期的可转换公司债券----------
融资租入固定资产----------
现金的期末余额12,949,200,000.0010,293,000,000.0010,256,800,000.009,721,910,000.0011,676,500,000.00
现金的期初余额11,676,500,000.0011,676,500,000.0011,676,500,000.0011,676,500,000.0013,325,000,000.00
现金等价物的期末余额----------
现金等价物的期初余额----------
现金及现金等价物的净增加额1,272,690,000.00-1,383,420,000.00-1,419,660,000.00-1,954,560,000.00-1,8,560,000.00
苏宁电器(002024) 利润表

单位:元

报表日期2011-12-312011-09-302011-06-302011-03-312010-12-31
一、营业总收入93,888,600,000.0067,625,500,000.0044,231,200,000.0020,583,100,000.0075,504,700,000.00
营业收入93,888,600,000.0067,625,500,000.0044,231,200,000.0020,583,100,000.0075,504,700,000.00
利息收入----------
已赚保费----------
手续费及佣金收入----------
房地产销售收入----------
其他业务收入----------
二、营业总成本87,596,700,000.0063,105,100,000.0040,804,700,000.0019,036,000,000.0070,083,400,000.00
营业成本76,104,700,000.0054,979,900,000.0035,985,000,000.0016,863,800,000.0062,040,700,000.00
利息支出----------
手续费及佣金支出----------
房地产销售成本----------
研发费用----------
退保金----------
赔付支出净额----------
提取保险合同准备金净额----------
保单红利支出----------
分保费用----------
其他业务成本----------
营业税金及附加369,751,000.00254,179,000.00171,355,000.0079,559,000.00268,129,000.00
销售费用9,367,350,000.006,681,140,000.003,970,580,000.001,850,590,000.006,809,110,000.00
管理费用2,088,0,000.001,385,0,000.00855,847,000.00319,065,000.001,250,310,000.00
财务费用-403,236,000.00-309,052,000.00-236,067,000.00-122,130,000.00-360,769,000.00
资产减值损失69,537,000.00113,265,000.0058,056,000.0045,144,000.0075,924,000.00
公允价值变动收益----------
投资收益152,192,000.00141,701,000.00-30,286,000.00-16,826,000.0010,625,000.00
其中:对联营企业和合营企业的投资收益

140,192,000.00141,701,000.00-30,286,000.00-16,826,000.004,967,000.00
汇兑收益----------
期货损益----------
托管收益----------
补贴收入----------
其他业务利润----------
三、营业利润6,444,080,000.004,662,080,000.003,396,130,000.001,530,290,000.005,431,950,000.00
营业外收入117,555,000.0056,944,000.0023,791,000.0027,558,000.0072,465,000.00
营业外支出88,410,000.0068,871,000.0049,596,000.0034,216,000.00102,369,000.00
非流动资产处置损失4,439,000.002,903,000.001,615,000.003,555,000.00-4,882,000.00
利润总额6,473,230,000.004,650,150,000.003,370,320,000.001,523,630,000.005,402,040,000.00
所得税费用1,587,220,000.001,157,360,000.00841,733,000.00383,908,000.001,296,540,000.00
未确认投资损失----------
四、净利润4,886,010,000.003,492,790,000.002,528,590,000.001,139,730,000.004,105,510,000.00
归属于母公司所有者的净利润4,820,590,000.003,422,410,000.002,474,450,000.001,122,880,000.004,011,820,000.00
少数股东损益65,412,000.0070,387,000.0054,135,000.0016,850,000.0093,688,000.00
五、每股收益
基本每股收益0.690.490.350.160.57
稀释每股收益0.690.490.350.160.57
六、其他综合收益-4,021,000.0023,090,000.001,863,000.003,306,000.007,523,000.00
七、综合收益总额4,881,990,000.003,515,880,000.002,530,450,000.001,143,030,000.004,113,030,000.00
归属于母公司所有者的综合收益总额4,828,370,000.003,445,500,000.002,476,320,000.001,126,180,000.004,019,340,000.00
归属于少数股东的综合收益总额53,618,000.0070,387,000.0054,135,000.0016,850,000.0093,688,000.00
一、公司简介

公司名称:苏宁电器股份有限公司  Suning Appliance Co., Ltd.          

证券简称:苏宁电器    证券代码:002024           

关联上市                                                       

相关指数:沪深300指数 中证100指数 深证成份指数 深证100指数 巨潮100指数 中小板100指数 盐田港物流行业指数                   

行业类别:五金、交电、化工零售业                                  

证券类别:中小企业板            

上市日期:2004-07-21            

法人代表:张近东                                                  

注册地址:江苏省南京市山西路8号金山大厦1-5层                     

办公地址:江苏省南京市玄武区苏宁大道1号                          

经营范围:许可经营项目:音像制品直营连锁经营,普通货运,预包装食品、散装食品销售。

以下限指定的分支机构经营:电子出版物、国内版图书、报刊零售;第二类增值电信业务中的信息服务业务(不含固定网电话声讯服务、移动网和固定息服务);

一般经营项目:家用电器、电子产品、办公设备、通讯产品及配件的连锁销售和服务,计算机软件开发、销售、系统集成,百货、自行车、电动助力车、摩托车、汽车的连锁销售,实业投资,场地租赁,柜台出租,国内商品展览服务,企业形象策划,经济信息咨询服务,人才培训,商务代理,仓储,微型计算机配件、软件的销售,微型计算机的安装及维修,废旧物资回收与销售,非学历技能培训,乐器销售。主营业务综合家用电器的连锁销售和服务。       

 主要竞争对手:国美电器(00493)

1.公司财务报表解读(每股收益、每股公积金、每股净资产值、净资产收益率、每股现金流量、股本结构、产品结构、风险提示等)

盈利能力分析

指标200820092010
净资产收益率0.250.20    0.22

总资产收益率0.100.080.09
资本金收益率0.730.620.57
营业利润率0.060.070.07
每股净资产2.933.122.62
偿债能力分析

a.短期偿债能力分析:

指标20082009 2010
流动比率 

1.381.461.41
速动比率 

0.981.151.02
现金比率 

0.851.060.79
b.长期偿债能力分析:

指标20082009 2010
资产负债率0.58

0.580.57
产权比率率 

1.431.441.37
 有形资产净值债务率

1.521.521.47
营运能力分析

年份2008年

2009年

2010年

应收账款周转率 457.83 255.06104.03
流动资产周转率 3.24 2.46 2.34
存货周转率 8.748.58 7.85
总资产周转率 2.2.03 1.
净资产周转率7.455.004.59

文档

苏宁电器财务报表及分析

苏宁电器财务报表及分析苏宁电器(002024)资产负债表单位:元报表日期2011-12-312011-09-302011-06-302011-03-312010-12-31流动资产货币资金22,740,100,000.0021,128,700,000.0019,975,000,000.0019,707,900,000.0019,351,800,000.00结算备付金----------拆出资金----------交易性金融资产----------衍生金融资产----------应收票据7,26
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