长虹美菱(000521):2025年年度审计报告
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时间:2026年04月03日 16:01:19 中财网 |
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原标题: 长虹美菱:2025年年度审计报告

| 数量 | | 6,213,237 | | | | 1,141,053 | | 5,072,184 | | 3,363,539 | | 1,708,645 | | | | 1,023,710,478 | | 875,520,644 | | 148,189,834 | | | | | | 1,029,923,715 |
| 折旧年限(年) | 预计残值率(%) | | 30-40 | 4.00-5.00 |
| 折旧年限 | 预计残值率 | | 30-40年 | 4%-5% | | 10-14年 | 4%-5% | | 5-12年 | 4%-5% | | 8-12年 | 4%-5% |
| 计税依据 | | 以按税法规定计算的销售货物和应税劳务收
入为基础计算销项税额,扣除当期允许抵扣
的进项税额后,差额部分为应交增值税 | | 从价计征的,按房产原值一次减除30%后余值的
1.2%计缴;从租计征的,按租金收入的12%计缴 | | 土地面积 | | 实际缴纳的流转税税额 | | 实际缴纳的流转税税额 | | 实际缴纳的流转税税额 | | 应纳税所得额 |
| 期末数 | | 9,657.12 | | 5,431,765,667.46 | | 447,929,063.69 | | 4,306,957,481.67 | | 10,186,661,869.94 | | 41,364,305.25 |
| 期末数 | | 61,841,784.71 | | 61,841,784.71 |
| 期末数 | | 2,026,453,487.32 | | | | 1,728,453,969.40 | | 224,531,570.07 | | 73,467,947.85 | | 60,138,517.19 | | 26,851,816.90 | | 213,760,002.68 | | 2,327,203,824.09 |
| | | | | | 账面余额 | | 坏账准备 | | | 金额 | 比例
(%) | 金额 | 计提比
例(%) | | 1,145,354,844.63 | 49.21 | 180,888,879.34 | 15.79 | | 138,741,357.98 | 5.96 | | | | 940,509,695.82 | 40.41 | 129,281,437.51 | 13.75 | | 66,103,790.83 | 2.84 | 51,607,441.83 | 78.07 | | 1,181,848,979.46 | 50.79 | 131,370,453.42 | 11.12 | | 167,934,094.47 | 7.22 | 50,539,888.62 | 30.10 | | 1,013,914,884.99 | 43.57 | 80,830,564.80 | 7.97 | | 2,327,203,824.09 | 100.00 | 312,259,332.76 | 13.42 |
| | | | | | 账面余额 | | 坏账准备 | | | 金额 | 比例
(%) | 金额 | 计提比
例(%) | | 736,905,399.87 | 39.87 | 174,360,359.87 | 23.66 | | 204,543,428.36 | 11.07 | | | | 485,828,526.67 | 26.28 | 129,934,772.07 | 26.74 | | 46,533,444.84 | 2.52 | 44,425,587.80 | 95.47 | | 1,111,450,405.57 | 60.13 | 146,017,071.09 | 13.14 | | 185,634,242.24 | 10.04 | 54,756,852.90 | 29.50 | | 925,816,163.33 | 50.09 | 91,260,218.19 | 9.86 | | 1,848,355,805.44 | 100.00 | 320,377,430.96 | 17.33 |
| | | | 账面余额 | 坏账准备 | | 47,286,995.46 | | | 27,243,824.94 | | | 15,022,930.50 | | | 20,138,271.61 | 4,027,654.32 | | 23,459,675.32 | 11,729,837.66 | | 34,782,396.64 | 34,782,396.64 | | 167,934,094.47 | 50,539,888.62 |
| | | | 账面余额 | 坏账准备 | | 25,327,660.33 | | | 14,901,434.29 | | | 28,923,666.97 | | | 56,974,354.61 | 11,394,870.93 | | 32,290,288.15 | 16,145,144.08 | | 27,216,837.89 | 27,216,837.89 | | 185,634,242.24 | 54,756,852.90 |
| 账面余额 | 坏账准备 | | 857,122,825.10 | 8,571,228.26 | | 83,699,552.61 | 8,369,955.27 | | 10,790,286.62 | 2,158,057.32 | | 1,112,115.09 | 556,057.55 | | 74,195.82 | 59,356.65 |
| | | | 账面余额 | 坏账准备 | | 61,115,909.75 | 61,115,909.75 | | 1,013,914,884.99 | 80,830,564.80 |
| | | | 账面余额 | 坏账准备 | | 832,210,142.16 | 8,322,101.42 | | 8,867,933.33 | 886,793.33 | | 2,545,036.25 | 509,007.25 | | 1,083,159.99 | 541,580.00 | | 545,777.06 | 436,621.65 | | 80,564,114.54 | 80,564,114.54 | | 925,816,163.33 | 91,260,218.19 |
| 期初数 | 本期变动金额 | | | | | | 计提 | 收回或转回 | 核销 | 其他 | | 174,360,359.87 | 23,275,237.84 | 17,336,718.33 | | 589,999.96 | | 146,017,071.09 | -14,313,788.18 | | | -332,829.49 | | 320,377,430.96 | 8,961,449.66 | 17,336,718.33 | | 257,170.47 |
| 收回或
转回金额 | 转回原因 | 收回方式 | | 13,739,400.00 | 款项收回 | 客户回款 | | 13,739,400.00 | | |
| 期末数 | | 400,661,889.26 | | 9,268,697.13 | | 409,930,586.39 |
| | | | | | 账面余额 | | 坏账准备 | | | 金额 | 比例(%) | 金额 | 计提比例(%) | | 409,930,586.39 | 100.00 | | | | 400,661,889.26 | 97.74 | | | | 9,268,697.13 | 2.26 | | | | 409,930,586.39 | 100.00 | | |
| | | | | | 账面余额 | | 坏账准备 | | | 金额 | 比例(%) | 金额 | 计提比例(%) | | 1,516,987,953.83 | 100.00 | | | | 1,482,928,143.55 | 97.75 | | | | 34,059,810.28 | 2.25 | | | | 1,516,987,953.83 | 100.00 | | |
| | | | | 账面余额 | 比例(%) | 减值准备 | | 92,298,229.88 | 99.60 | | | 327,676.10 | 0.35 | | | 22,192.29 | 0.03 | | | 19,419.21 | 0.02 | | | 92,667,517.48 | 100.00 | |
| 59,929,582.83 | 99.30 | | | 266,216.81 | 0.44 | | | 47,912.63 | 0.08 | | | 108,633.00 | 0.18 | | | 60,352,345.27 | 100.00 | |
| 期末数 | | | | 41,558,190.51 | | 41,558,190.51 |
| 期末数 | | 13,690,886.55 | | 15,438,672.52 | | 14,390,254.25 | | 420,041.56 | | 1,251,838.02 | | 45,191,692.90 |
| 期末数 | | 28,670,316.46 | | 1,945,629.74 | | 2,126,167.97 | | 4,024,836.61 | | 1,629,908.14 |
| 期末数 | | 6,794,833.98 | | 45,191,692.90 |
| | | | | | 账面余额 | | 坏账准备 | | | 金额 | 比例(%) | 金额 | 计提比例(%) | | 44,965,306.70 | 99.50 | 3,560,424.62 | 7.92 | | 30,155,010.89 | 66.73 | 3,560,424.62 | 11.81 | | 14,390,254.25 | 31.84 | | | | 420,041.56 | 0.93 | | | | 226,386.20 | 0.50 | 73,077.77 | 32.28 | | 226,386.20 | 0.50 | 73,077.77 | 32.28 | | 45,191,692.90 | 100.00 | 3,633,502.39 | 8.04 |
| | | | | | 账面余额 | | 坏账准备 | | | 金额 | 比例(%) | 金额 | 计提比例(%) | | 126,192,156.34 | 99.82 | 3,057,306.45 | 2.42 | | 27,897,597.92 | 22.07 | 3,057,306.45 | 10.96 | | 95,274,068.20 | 75.36 | | | | 3,020,490.22 | 2.39 | | |
| 226,039.18 | 0.18 | 94,569.98 | 41.84 | | 226,039.18 | 0.18 | 94,569.98 | 41.84 | | 126,418,195.52 | 100.00 | 3,151,876.43 | 2.49 |
| 第一阶段 | 第二阶段 | 第三阶段 | | 未来12个月预
期信用损失 | 整个存续期预期信
用损失(未发生信
用减值) | 整个存续期预期信
用损失(已发生信
用减值) | | 5,931.27 | 22,405.08 | 3,123,540.08 | | —— | —— | —— | | | | | | | | | | | | | | | | | | -123.53 | 15,925.02 | 468,626.34 | | | | 1,147.25 | | | | | | -1,654.62 | | | | 4,153.12 | 38,330.10 | 3,591,019.17 |
| 期初余额 | 本期变动金额 | | | | | | 计提 | 收回或转回 | 转销或核销 | 其他 | | 3,057,306.45 | 504,265.42 | 1,147.25 | | | | 94,569.98 | -19,837.59 | | | -1,654.62 | | 3,151,876.43 | 484,427.83 | 1,147.25 | | -1,654.62 |
| 款项性质 | 期末账面余额 | 账龄 | 占其他应收款
余额的比例(%) | | 出口退税 | 14,390,254.25 | 3个月以内 | 31.84 | | 保证金 | 3,010,561.28 | 3个月-2年 | 6.66 | | 员工备用金 | 2,401,043.99 | 3个月以内 | 5.31 | | 保证金 | 1,127,305.30 | 3个月以内 | 2.49 |
| 款项性质 | 期末账面余额 | 账龄 | 占其他应收款
余额的比例(%) | | 员工备用金 | 1,019,237.45 | 3个月以内 | 2.26 | | | 21,948,402.27 | | 48.56 |
| | | | 账面余额 | 跌价准备/减值准备 | | 223,499,248.36 | 6,074,475.00 | | 103,761.03 | 38,674.41 | | 75,100,660.88 | | | 1,351,056,971.25 | 108,942,269.30 | | 546,933,915.62 | 15,497,182.36 | | 10,074,421.95 | | | 3,528,619.58 | | | 2,210,297,598.67 | 130,552,601.07 |
| | | | 账面余额 | 跌价准备/减值准备 | | 212,959,918.52 | 5,083,192.31 | | 266,404.78 | 97,317.58 | | 90,498,578.88 | | | 2,140,311,193.05 | 101,125,135.79 | | 1,144,852,004.99 | 9,982,021.26 | | 10,482,237.67 | 39,214.30 | | 31,928,661.07 | 4,108.38 | | 3,631,298,998.96 | 116,330,989.62 |
| 期初数 | 本期增加 | | 本期减少 | | | | 计提 | 其他 | 转回或转销 | 其他 | | 5,083,192.31 | 4,808,284.36 | | 3,817,001.67 | | | 97,317.58 | 26,514.06 | | 85,157.23 | | | 101,125,135.79 | 59,391,589.64 | 263,736.54 | 51,838,192.67 | | | 9,982,021.26 | 31,218,122.82 | | 25,702,961.72 | | | 39,214.30 | | | 39,214.30 | | | 4,108.38 | | | 4,108.38 | | | 116,330,989.62 | 95,444,510.88 | 263,736.54 | 81,486,635.97 | |
| 确定可变现净值的具体依据 | | 成本高于可变现净值(加工制成的产成品存在跌价) | | 成本高于可变现净值(期末市场价格下跌) | | 成本高于可变现净值(期末市场价格下跌) | | 成本高于可变现净值 | | 工程施工成本高于可变现净值(加工制成的产成品存
在跌价) |
| | | | 账面余额 | 减值准备 | | 1,187,133.55 | 461,708.05 | | 1,187,133.55 | 461,708.05 |
| | | | 账面余额 | 减值准备 | | 3,226,503.19 | 462,636.22 | | 3,226,503.19 | 462,636.22 |
| 变动金额 | | -2,038,441.47 | | -2,038,441.47 |
| | | | | | 账面余额 | | 减值准备 | | | 金额 | 比例(%) | 金额 | 计提比例(%) | | 1,187,133.55 | 100.00 | 461,708.05 | 38.89 | | 1,187,133.55 | 100.00 | 461,708.05 | 38.89 |
| | | | | | 账面余额 | | 减值准备 | | | 金额 | 比例(%) | 金额 | 计提比例(%) | | 3,226,503.19 | 100.00 | 462,636.22 | 14.34 | | 3,226,503.19 | 100.00 | 462,636.22 | 14.34 |
| 期初数 | 本期变动金额 | | | | | | 计提 | 收回或转回 | 转销/核销 | 其他 | | 462,636.22 | | 928.17 | | | | 462,636.22 | | 928.17 | | |
| 期末数 | | | | | | 账面余额 | 减值准备 | 账面价值 | 账面余额 | 减值准备 | | 656,205,518.06 | | 656,205,518.06 | 53,831,301.37 | | | 3,620,602.65 | 30,000.00 | 3,590,602.65 | 6,531,620.47 | 120,000.00 | | 659,826,120.71 | 30,000.00 | 659,796,120.71 | 60,362,921.84 | 120,000.00 |
| 期末数 | | | | | | 账面余额 | 减值
准备 | 账面价值 | 账面余额 | 减值
准备 | | 656,205,518.06 | | 656,205,518.06 | 53,831,301.37 | | | 656,205,518.06 | | 656,205,518.06 | 53,831,301.37 | |
| | | | | | 面值 | 票面利率(%) | 实际利率(%) | 到期日 | | 150,000,000.00 | 2.70 | 2.70 | 2026-8-7 | | 150,000,000.00 | | | |
| 期末数 | | | | | | 账面余额 | 减值
准备 | 账面价值 | 账面余额 | 减值
准备 | | 2,148,305.21 | | 2,148,305.21 | 6,591,963.44 | | | 46,506,438.38 | | 46,506,438.38 | 38,375,210.13 | | | 190,382,026.90 | | 190,382,026.90 | 199,284,116.97 | | | 53,335,578.88 | | 53,335,578.88 | 253,112,899.55 | | | 70,340,986.30 | | 70,340,986.30 | 54,770,499.43 | | | 608,632.91 | | 608,632.91 | 689,887.41 | | | 9,588,955.30 | | 9,588,955.30 | 9,205,786.05 | | | 372,910,923.88 | | 372,910,923.88 | 562,030,362.98 | |
| | | | 账面余额 | 减值准备 | | 1,474,153,793.17 | | | 1,474,153,793.17 | |
| | | | | | 面值 | 票面利率(%) | 实际利率(%) | 到期日 | | 250,000,000.00 | 3.05 | 3.05 | 2027-5-24 | | 150,000,000.00 | 3.15 | 3.15 | 2027-5-16 | | 100,000,000.00 | 2.60 | 2.60 | 2027-6-21 | | 500,000,000.00 | | | |
| | | | | | 面值 | 票面利率(%) | 实际利率(%) | 到期日 | | 250,000,000.00 | 3.05 | 3.05 | 2027-5-24 | | 150,000,000.00 | 2.70 | 2.70 | 2026-8-7 | | 150,000,000.00 | 3.15 | 3.15 | 2027-5-16 | | 100,000,000.00 | 2.60 | 2.60 | 2027-6-21 | | 650,000,000.00 | | | |
| | | | 账面余额 | 减值准备 | | 91,246,211.34 | 3,097,405.00 |
| | | | 账面余额 | 减值准备 | | 91,246,211.34 | 3,097,405.00 |
| | | | 账面余额 | 减值准备 | | 84,608,551.82 | 3,097,405.00 | | 84,608,551.82 | 3,097,405.00 |
| 期初数 | | | | | | 账面价值 | 减值准备 | 追加投资 | 减少投资 | 权益法下确认的
投资损益 | | | | | | | | 60,175,669.07 | | | | 8,649,710.97 | | 14,164,491.99 | | | | 81,757.02 | | 4,495,425.39 | 3,008,655.00 | | | -1,164,382.41 | | 2,675,560.37 | 88,750.00 | | | -254,635.11 | | | | | | | | | | | | | | 81,511,146.82 | 3,097,405.00 | | | 7,312,450.47 |
| 本期增减变动 | | | | | | 其他权
益变动 | 宣告发放现金
股利或利润 | 计提减值准备 | 其他 | 账面价值 | | | | | | | | | 674,790.95 | | | 68,150,589.09 | | | | | | 14,246,249.01 |
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