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紫金礦業(yè)財務(wù)報告分析(供財務(wù)分析課使用)-展示頁

2024-08-04 04:15本頁面
  

【正文】 985,737,393投資性房地產(chǎn)53,100,35855,145,3322,044,974()()固定資產(chǎn)8,444,568,2587,340,321,0731,104,247,185在建工程3,999,386,2212,574,841,5831,424,544,638工程物資113,160,383135,851,03822,690,655()()無形資產(chǎn)5,292,918,6775,176,998,972115,919,705商譽383,299,356437,396,94054,097,584()()長期待攤費用752,546,244580,381,301172,164,943遞延所得稅資產(chǎn)193,970,96688,101,492105,869,474其他非流動資產(chǎn)3,374,938,3922,224,007,5561,150,930,836非流動資產(chǎn)合計27,340,666,95020,684,967,5516,655,699,399資產(chǎn)總計38,401,232,80629,646,138,3018,755,094,505流動負(fù)債:短期借款4,496,151,7013,340,654,7481,155,496,953交易性金融負(fù)債2,321,910—2,321,9100應(yīng)付賬款1,024,790,051978,186,42146,603,630預(yù)收賬款430,106,172310,275,422119,830,750應(yīng)付職工薪酬237,155,968221,166,78415,989,184應(yīng)交稅費1,030,360,245564,363,895465,996,350應(yīng)付股利29,070,36947,681,81818,611,449()()其他應(yīng)付款1,734,015,8641,102,579,579631,436,285一年內(nèi)到期的非流動負(fù)債652,448,993338,305,312314,143,681其他流動負(fù)債—265,000,000265,000,000()()流動負(fù)債合計9,636,421,2737,168,213,9792,468,207,294非流動負(fù)債:長期借款2,303,074,858407,410,0001,895,664,858長期應(yīng)付款157,147,490272,480,101115,332,611()()遞延所得稅負(fù)債219,426,202143,889,72275,536,480其他非流動負(fù)債56,492,15340,679,51515,812,638非流動負(fù)債合計2,736,140,703864,459,3381,871,681,365負(fù)債合計12,372,561,9768,032,673,3174,339,888,659股東權(quán)益:股本1,454,130,9101,454,130,910000資本公積9,377,131,1189,049,520,390327,610,728專項儲備56,500,68271,752,89515,252,213()()盈余公積999,800,342999,800,3420未分配利潤10,065,314,9206,691,529,1063,373,785,814外幣報表折算差額(121,307,424)(96,553,522)24,753,902()歸屬于母公司股東權(quán)益合計2,183,157,04818,170,180,12115,987,023,073()()少數(shù)股東權(quán)益4,197,100,2823,443,284,863753,815,419股東權(quán)益合計26,028,670,83021,613,464,9844,415,205,846負(fù)債和股東權(quán)益合計38,401,232,80629,646,138,3018,755,094,505 從投資或資產(chǎn)角度進行分析評價根據(jù)上表,可以對紫金礦業(yè)公司總資產(chǎn)變動情況做出以下分析評價:該公司總資產(chǎn)本期增加8,755,094,505元,%,說明紫金礦業(yè)公司本年資產(chǎn)規(guī)模有較大幅度的增長。非流動資產(chǎn)本期增加了6,655,699,399 元,%,%,兩者合計使總資產(chǎn)增加了8,755,094,505 元,%。其增長主要體現(xiàn)以下在四個方面:一是可供出售金融資產(chǎn)的大幅度增長。通過分析公司在報告期內(nèi)的主要財務(wù)數(shù)據(jù)變動,可以得知紫金礦業(yè)公司本年新購入可轉(zhuǎn)換債券。在建工程本期增長了1,424,544,638元,%,%。三是固定資產(chǎn)的較大幅度增長。從在建工程和固定資產(chǎn)的較大幅度增長,可以看出紫金礦業(yè)公司本期主要增加對在建工程和固定資產(chǎn)的投資。本期長期股權(quán)投資增長了985,737,393元,%,%,進一步得出紫金礦業(yè)公司本期增加了對長期投資的持有,這一變動主要是公司報告期內(nèi)新增投資所致;(3)流動資產(chǎn)的變動主要體現(xiàn)在以下兩個方面:一是存貨的增長。主要是冶煉加工原材料成本上漲,產(chǎn)能擴大導(dǎo)致產(chǎn)成品增加以及新增建造合同形成的資產(chǎn)增加。二是貨幣資金的增長。貨幣資金的增長對提高企業(yè)的償債能力、滿足資金流動性需要都是有利的。進一步分析可以發(fā)現(xiàn):(1)負(fù)債本期增加4,339,888,659元,%,%;股東權(quán)益本期增加了4,415,205,846元,%,%,兩者合計使權(quán)益總額本期增加了8,755,094,505元,%。(2)負(fù)債的增長主要體現(xiàn)在短期借款的增長上。流動負(fù)債的增長主要表現(xiàn)在三個方面:一是銀行短期借款的增長。主要由于紫金礦業(yè)公司為應(yīng)付生產(chǎn)經(jīng)營資金需求而新增短期融資所致。其他應(yīng)付款本期增加631,436,285元,%,%;主要由于本集團擴大生產(chǎn)規(guī)模導(dǎo)致相應(yīng)的機器設(shè)備采購和工程建設(shè)支出增加。應(yīng)交稅費基本增加了465,996,350元,%,可能使企業(yè)面臨較大的財務(wù)風(fēng)險。非流動負(fù)債本期增長了1,871,681,365 元,%,%,其中長期借款的增加是主要原因。長期借款的增加可能是由于公司擴大生產(chǎn)規(guī)模,大量增加在建工程所致,是企業(yè)正常經(jīng)常所致,當(dāng)然公司應(yīng)當(dāng)注意利息的支付和借款的償還期限。(3)股東權(quán)益本期增加4,415,205,846元,%,%。 資產(chǎn)負(fù)債表變動原因分析資產(chǎn)負(fù)債表變動原因表 金額單位:人民幣元資產(chǎn)期末余額期初余額負(fù)債和所有者權(quán)益期末余額期初余額固定資產(chǎn)8,444,568,2587,340,321,073負(fù)債12,372,561,9768,032,673,317……股本1,454,130,9101,454,130,910盈余公積999,800,342999,800,342資本公積9,377,131,1189,049,520,390未分配利潤10,065,314,9206,691,529,106資產(chǎn)總計38,401,232,80629,646,138,301負(fù)債和所有者權(quán)益總計38,401,232,80629,646,138,301從上表可以看出,本期總資產(chǎn)增加了8,755,094,505元,是由于負(fù)債、資本公積和未分配利潤共同變動的影響所導(dǎo)致的。本期,由于負(fù)債的增加導(dǎo)致的企業(yè)經(jīng)營規(guī)模的擴大,對于這種變化,應(yīng)該認(rèn)為是企業(yè)擴大生產(chǎn)規(guī)模,實現(xiàn)盈利的結(jié)果;(2)由于未分配增加了4,339,888,659元,這是由于執(zhí)行2010年股利分配政策所導(dǎo)致,主要原因是年度內(nèi)增加了盈利,這說明企業(yè)當(dāng)年實現(xiàn)了利潤的增長,表明企業(yè)本年經(jīng)營還是顯有成效的。1.2 資產(chǎn)負(fù)債表垂直分析資產(chǎn)負(fù)債表垂直分析表 金額單位:人民幣元項目2010年2009年2010年(%)2009年(%)變動情況(%)流動資產(chǎn):貨幣資金4,651,209,6004,139,956,374交易性金融資產(chǎn)388,384,383144,200,652應(yīng)收票據(jù)326,625,938144,666,432應(yīng)收賬款669,093,678427,832,390預(yù)付賬款631,892,986349,030,549其他應(yīng)收款792,011,714424,685,281存貨3,482,682,1312,637,617,977其他流動資產(chǎn)118,665,426693,181,095流動資產(chǎn)合計11,060,565,8568,961,170,750非流動資產(chǎn):可供出售金融資產(chǎn)2,058,973,823383,855,385長期股權(quán)投資2,673,804,2721,688,066,879投資性房地產(chǎn)53,100,35855,145,332固定資產(chǎn)8,444,568,2587,340,321,073在建工程3,999,386,2212,574,841,583工程物資113,160,383135,851,038無形資產(chǎn)5,292,918,6775,176,998,972商譽383,299,356437,396,940長期待攤費用752,546,244580,381,301遞延所得稅資產(chǎn)193,970,96688,101,492其他非流動資產(chǎn)3,374,938,3922,224,007,556非流動資產(chǎn)合計27,340,666,95020,684,967,551資產(chǎn)總計38,401,232,80629,646,138,301流動負(fù)債:短期借款4,496,151,7013,340,654,748交易性金融負(fù)債2,321,910—應(yīng)付賬款1,024,790,051978,186,421預(yù)收賬款430,106,172310,275,422應(yīng)付職工薪酬237,155,968221,166,784應(yīng)交稅費1,030,360,245564,363,895應(yīng)付股利29,070,36947,681,818其他應(yīng)付款1,734,015,8641,102,579,579一年內(nèi)到期的非流動負(fù)債652,448,993338,305,312其他流動負(fù)債—265,000,000流動負(fù)債合計9,636,421,2737,168,213,979非流動負(fù)債:長期借款2,303,074,858407,410,000長期應(yīng)付款157,147,490272,480,101遞延所得稅負(fù)債219,426,202143,889,722其他非流動負(fù)債56,492,15340,679,515非流動負(fù)債合計2,736,140,703864,459,338負(fù)債合計12,372,561,9768,032,673,317股東權(quán)益:股本1,454,130,9101,454,130,910資本公積9,377,131,1189,049,520,390專項儲備56,500,68271,752,895盈余公積999,800,342999,800,342未分配利潤10,065,314,9206,691,529,106外幣報表折算差額(121,307,424)(96,553,522)歸屬于母公司股東權(quán)益合計2,183,157,04818,170,180,121少數(shù)股東權(quán)益4,197,100,2823,443,284,863股東權(quán)益合計26,028,670,83021,613,464,984負(fù)債和股東權(quán)益合計38,401,232,80629,646,138,301 資產(chǎn)結(jié)構(gòu)的分析評價結(jié)合上表,可以從以下兩個方面對企業(yè)的資產(chǎn)結(jié)構(gòu)進行分析評價:(1)從靜態(tài)方面分析。所以,企業(yè)流動資產(chǎn)比重較大時,企業(yè)資產(chǎn)的流動性強,風(fēng)險小,非流動比重高時,企業(yè)資產(chǎn)彈性較差,不利于企業(yè)靈活調(diào)度資金,風(fēng)險較大。根據(jù)這樣的資產(chǎn)結(jié)構(gòu),可以認(rèn)為紫金礦業(yè)資產(chǎn)的流動性弱,資產(chǎn)風(fēng)險較大
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