万科财务报表.xls
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万科资产负债表会计年度2007/12/312008/12/312009/12/31货币资金17,046,504,584.3119,978,285,929.9223,001,923,830.80交易性金融资产----740,470.77应收票据------应收账款864,883,012.55922,774,844.24713,191,906.14预付款项8,284,197,850.733,160,518,998.568,736,319,500.73其他应收款2,764,056,869.183,496,096,906.257,785,809,435.41应收关联公司款------应收利息------应收股利------存货66,472,876,871.4085,898,696,524.9590,085,294,305.52其中:消耗性生物------资产一年内到期的非流------动资产其他流动资产------流动资产合计95,432,519,188.17113,456,373,203.92130,323,279,449.37可供出售金融资产488,844,114.16167,417,894.55163,629,472.66持有至到期投资------长期应收款------长期股权投资2,438,609,165.052,485,725,268.993,565,383,001.51投资性房地产277,090,574.96198,394,767.05228,143,157.99固定资产575,205,554.971,265,332,766.181,355,977,020.48在建工程271,270,240.23188,587,022.90593,208,234.13工程物资------固定资产清理------生产性生物资产------油气资产------无形资产----81,966,325.94开发支出------商誉------长期待摊费用6,871,651.4925,268,164.9731,318,689.65递延所得税资产604,057,419.261,449,480,632.531,265,649,477.66其他非流动资产------非流动资产合计4,661,948,720.125,780,206,517.177,285,275,380.02资产总计100,094,467,908.29119,236,579,721.09137,608,554,829.39短期借款1,104,850,000.004,601,968,333.321,188,256,111.11交易性金融负债20,957,112.001,694,880.00--应付票据----30,000,000.00应付账款11,103,797,389.7612,895,962,836.6316,300,047,905.75预收款项21,622,747,400.8023,945,755,139.8531,734,801,163.76应付职工薪酬729,790,790.42517,762,853.19806,504,472.20应交税费795,716,626.98-861,985,122.521,176,877,640.28应付利息--219,884,034.75122,643,721.10应付股利------其他应付款5,907,447,420.799,968,304,370.939,258,734,468.30应付关联公司款------一年内到期的非流7,488,676,903.6513,264,374,576.457,440,414,366.78动负债其他流动负债------流动负债合计48,773,983,644.4064,553,721,902.6068,058,279,849.28长期借款16,362,079,840.219,174,120,094.8317,502,798,297.11应付债券--5,768,015,997.015,793,735,805.14长期应付款------专项应付款9,913,830.68----预计负债37,962,953.4341,729,468.0334,355,814.95递延所得税负债991,004,610.53867,797,927.60802,464,465.02其他非流动负债--12,644,849.828,408,143.82非流动负债合计17,400,961,234.8515,864,308,337.2924,141,762,526.04负债合计66,174,944,879.2580,418,030,239.8992,200,042,375.32实收资本(或股6,872,006,387.0010,995,210,218.0010,995,210,218.00本)资本公积12,830,465,899.137,853,144,319.558,557,716,583.44盈余公积5,395,470,156.386,581,984,978.148,737,841,436.85减:库存股------未分配利润4,032,906,217.686,184,277,986.668,808,398,744.05少数股东权益4,640,875,427.846,926,624,218.808,032,624,392.93外币报表折算价差147,798,941.01277,307,760.05276,721,078.80非正常经营项目收------益调整归属母公司所有者29,278,647,601.2031,891,925,262.4037,375,888,061.14权益(或股东权益)所有者权益(或股33,919,523,029.0438,818,549,481.2045,408,512,454.07东权益)合计负债和所有者(或100,094,467,908.29119,236,579,721.09137,608,554,829.39股东权益)合计万科利润表会计年度2007/12/312008/12/312009/12/31一、营业收入35,526,611,301.9440,991,779,214.9648,881,013,143.49减:营业成本20,607,338,964.4425,005,274,464.9134,514,717,705.00营业税金及附加4,115,772,993.854,533,872,994.463,602,580,351.82销售费用1,194,543,702.001,860,350,084.011,513,716,869.35管理费用1,763,765,823.491,530,799,165.461,441,986,772.29勘探费用------财务费用359,500,074.40657,253,346.42573,680,423.04资产减值损失18,570,156.231,268,113,233.13-524,239,596.14加:公允价值变动净收益-22,252,783.9019,262,232.002,435,350.77投资收益208,030,696.10209,411,393.50924,076,829.10其中:对联营企业和合营企业的投资收益128,643,366.50209,735,864.65541,860,864.68影响营业利润的其他科目------二、营业利润7,652,897,499.736,364,789,552.078,685,082,798.00加:补贴收入------营业外收入31,457,800.2457,455,149.7070,678,786.74减:营业外支出42,749,614.6499,959,075.74138,333,776.65其中:非流动资产处置净损失675,525.302,336,423.461,577,638.38加:影响利润总额的其他科目------三、利润总额7,641,605,685.336,322,285,626.038,617,427,808.09减:所得税2,324,104,867.511,682,416,473.302,187,420,269.40加:影响净利润的其他科目------四、净利润5,317,500,817.824,639,869,152.736,430,007,538.69归属于母公司所有者的净利润4,844,235,494.214,033,170,027.895,329,737,727.00少数股东损益473,265,323.61606,699,124.841,100,269,811.69五、每股收益------(一)基本每股收益0.730.370.48(二)稀释每股收益0.730.370.48报告年度2007/12/312008/12/312009/12/31销售商品、提供劳务收到的现金44,712,799,355.3742,783,256,973.5457,595,333,545.50收到的税费返还------收到其他与经营活动有关的现金1,251,115,826.871,478,587,995.651,889,792,191.43经营活动现金流入小计45,963,915,182.2444,261,844,969.1959,485,125,736.93购买商品、接受劳务支付的现金46,171,068,846.2230,218,067,735.4234,560,212,561.89万科现金流量表一、经营活动产生的现金流量支付给职工以及为职工支付的现金1,107,413,005.502,319,451,074.601,197,521,164.61支付的各项税费4,864,723,045.327,863,126,723.186,537,312,459.48支付其他与经营活动有关的现金4,258,426,101.003,895,351,266.397,936,728,231.40经营活动现金流出小计56,401,630,998.0444,295,996,799.5950,231,774,417.38经营活动产生的现金流量净额-10,437,715,815.80-34,151,830.409,253,351,319.55收回投资收到的现金60,714,270.461,040,323,958.60210,421,893.79取得投资收益收到的现金88,698,832.2476,414,614.40392,060,350.54处置固定资产、无形资产和其他长期资产收回的现金净额1,008,580.785,687,793.90142,450,545.00处置子公司及其他营业单位收到的现金净额70,715,899.333,547,677.00119,164,800.00收到其他与投资活动有关的现金167,527,344.24298,441,056.08304,714,390.00投资活动现金流入小计388,664,927.051,424,415,099.981,168,811,979.33购建固定资产、无形资产和其他长期资产支付的现金257,897,785.32215,283,734.68806,062,156.74投资支付的现金536,167,214.801,366,213,599.631,577,467,490.52取得子公司及其他营业单位支付的现金净额4,198,635,152.122,687,055,197.582,975,942,928.47支付其他与投资活动有关的现金------投资活动现金流出小计4,992,700,152.244,268,552,531.895,359,472,575.73投资活动产生的现金流量净额-4,604,035,225.19-2,844,137,431.91-4,190,660,596.40吸收投资收到的现金11,949,769,155.726,232,918,108.90829,084,667.00二、投资活动产生的现金流量三、筹资活动产生的现金流量取得借款收到的现金18,558,699,204.5614,325,980,945.7120,731,516,740.82收到其他与筹资活动有关的现金------筹资活动现金流入小计30,508,468,360.2820,558,899,054.6121,560,601,407.82偿还债务支付的现金7,156,929,770.9011,690,595,100.0721,640,510,970.25分配股利、利润或偿付利息支付的现金1,990,536,759.073,001,963,332.532,948,745,658.43支付其他与筹资活动有关的现金------筹资活动现金流出小计9,147,466,529.9714,692,558,432.6024,589,256,628.68筹资活动产生的现金流量净额21,361,001,830.315,866,340,622.01-3,028,655,220.86四、汇率变动对现金的影响-16,441,403.10-56,270,014.09-9,546,494.83四(2)、其他原因对现金的影响------五、现金及现金等价物净增加额6,302,809,386.222,931,781,345.612,024,489,007.46期初现金及现金等价物余额10,743,695,198.0917,046,504,584.3119,978,285,929.92期末现金及现金等价物余额17,046,504,584.3119,978,285,929.9222,002,774,937.38净利润5,317,500,817.824,639,869,152.736,430,007,538.69加:资产减值准备18,570,156.231,268,113,233.13-524,239,596.14固定资产折旧、油气资产折耗、生产性生物资产折旧108,228,054.3194,169,012.7395,653,213.99无形资产摊销----9,390,604.44长期待摊费用摊销2,410,643.0311,649,080.27--处置固定资产、无形资产和其他长期资产的损失675,525.302,336,423.466,306,215.78固定资产报废损失------附注:1、将净利润调节为经营活动现金流量公允价值变动损失22,252,783.90-19,262,232.00-2,435,350.77财务费用359,500,074.40657,253,346.42573,680,423.04投资损失-208,030,696.10-209,411,393.50-924,076,829.10递延所得税资产减少-370,525,410.41-845,423,213.27183,831,154.87递延所得税负债增加99,888,078.41-104,100,063.97-83,090,709.62存货的减少-32,392,687,516.80-12,401,019,289.301,556,571,445.17经营性应收项目的减少-8,563,686,760.624,938,322,368.06-10,928,036,079.41经营性应付项目的增加25,168,188,434.732,705,397,863.1512,239,132,980.41其他---772,046,118.31620,656,308.20经营活动产生的现金流量净额2-10,437,715,815.80-34,151,830.409,253,351,319.55债务转为资本------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17,046,504,584.3119,978,285,929.92--减:现金的期初余额10,743,695,198.0917,046,504,584.31--加:现金等价物的期末余额----22,002,774,937.38减:现金等价物的期初余额----19,978,285,929.92加:其他原因对现金的影响2------现金及现金等价物净增加额6,302,809,386.222,931,781,345.612,024,489,007.463、现金及现金等价物净变动情况2、不涉及现金收支的重大投资和筹资活动2010/12/31 37,816,932,911.84 ----1,594,024,561.0717,838,003,464.7114,938,313,217.77 ------133,333,458,045.93 ------205,520,732,201.32404,763,600.00 ----4,493,751,631.16129,176,195.261,219,581,927.47764,282,140.58 --------373,951,887.29 ----32,161,415.85 1,643,158,028.391,055,992,714.5110,116,819,540.51215,637,551,741.83 1,478,000,000.0015,054,493.43 --16,923,777,818.9874,405,197,318.781,415,758,826.873,165,476,401.56127,806,502.79 --16,814,029,349.10 --15,305,690,786.98 --129,650,791,498.4924,790,499,290.505,821,144,507.03 ----41,107,323.15738,993,358.998,816,121.26 31,400,560,600.93161,051,352,099.4210,995,210,218.008,789,344,008.8410,587,706,328.79 --13,470,284,310.0510,353,522,851.30390,131,925.43 --44,232,676,791.1154,586,199,642.41215,637,551,741.832010/12/31 50,713,851,442.6330,073,495,231.185,624,108,804.742,079,092,848.941,846,369,257.59 --504,227,742.57-545,451,004.03-15,054,493.43777,931,240.02291,703,045.44--11,894,885,308.23 --71,727,162.8225,859,892.031,211,776.17--11,940,752,579.023,101,142,073.98 --8,839,610,505.047,283,127,039.151,556,483,465.89 --0.660.662010/12/3188,119,694,493.30 --2,976,047,156.8291,095,741,650.1266,645,895,259.851,848,827,752.37 9,381,585,316.90 10,982,177,869.55 88,858,486,198.67 2,237,255,451.45282,454,288.12367,769,277.76462,241.52 17,179,172.33 2,032,857,298.14 2,700,722,277.87261,938,551.22 2,183,848,057.74 1,364,056,191.97 1,082,538,787.40 4,892,381,588.33 -2,191,659,310.461,979,021,435.0827,070,090,551.02 --29,049,111,986.1011,985,374,651.544,039,207,571.75--16,024,582,223.2913,024,529,762.8124,034,574.57 --13,094,160,478.3722,002,774,937.3835,096,935,415.758,839,610,505.04-545,451,004.03 --20,817,653.19 --190,379.16--15,054,493.43504,227,742.57-777,931,240.02-367,647,073.96-35,168,088.98 -35,529,232,749.19-20,484,611,050.2250,032,678,243.72564,717,640.742,237,255,451.45----------35,096,935,415.7522,002,774,937.38 --13,094,160,478.37。