长虹美菱(000521):2025年年度审计报告

时间:2026年04月03日 16:01:19 中财网

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(%)
30-404.00-5.00

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(%)
1,145,354,844.6349.21180,888,879.3415.79
138,741,357.985.96  
940,509,695.8240.41129,281,437.5113.75
66,103,790.832.8451,607,441.8378.07
1,181,848,979.4650.79131,370,453.4211.12
167,934,094.477.2250,539,888.6230.10
1,013,914,884.9943.5780,830,564.807.97
2,327,203,824.09100.00312,259,332.7613.42

    
账面余额 坏账准备 
金额比例 (%)金额计提比 例(%)
736,905,399.8739.87174,360,359.8723.66
204,543,428.3611.07  
485,828,526.6726.28129,934,772.0726.74
46,533,444.842.5244,425,587.8095.47
1,111,450,405.5760.13146,017,071.0913.14
185,634,242.2410.0454,756,852.9029.50
925,816,163.3350.0991,260,218.199.86
1,848,355,805.44100.00320,377,430.9617.33

  
账面余额坏账准备
47,286,995.46 
27,243,824.94 
15,022,930.50 
20,138,271.614,027,654.32
23,459,675.3211,729,837.66
34,782,396.6434,782,396.64
167,934,094.4750,539,888.62

  
账面余额坏账准备
25,327,660.33 
14,901,434.29 
28,923,666.97 
56,974,354.6111,394,870.93
32,290,288.1516,145,144.08
27,216,837.8927,216,837.89
185,634,242.2454,756,852.90


账面余额坏账准备
857,122,825.108,571,228.26
83,699,552.618,369,955.27
10,790,286.622,158,057.32
1,112,115.09556,057.55
74,195.8259,356.65

  
账面余额坏账准备
61,115,909.7561,115,909.75
1,013,914,884.9980,830,564.80

  
账面余额坏账准备
832,210,142.168,322,101.42
8,867,933.33886,793.33
2,545,036.25509,007.25
1,083,159.99541,580.00
545,777.06436,621.65
80,564,114.5480,564,114.54
925,816,163.3391,260,218.19

期初数本期变动金额   
 计提收回或转回核销其他
174,360,359.8723,275,237.8417,336,718.33 589,999.96
146,017,071.09-14,313,788.18  -332,829.49
320,377,430.968,961,449.6617,336,718.33 257,170.47

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(%)
409,930,586.39100.00  
400,661,889.2697.74  
9,268,697.132.26  
409,930,586.39100.00  

    
账面余额 坏账准备 
金额比例(%)金额计提比例(%)
1,516,987,953.83100.00  
1,482,928,143.5597.75  
34,059,810.282.25  
1,516,987,953.83100.00  



   
账面余额比例(%)减值准备
92,298,229.8899.60 
327,676.100.35 
22,192.290.03 
19,419.210.02 
92,667,517.48100.00 

   
账面余额比例(%)减值准备

59,929,582.8399.30 
266,216.810.44 
47,912.630.08 
108,633.000.18 
60,352,345.27100.00 

期末数
 
41,558,190.51
41,558,190.51

期末数
 
 
 

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(%)
44,965,306.7099.503,560,424.627.92
30,155,010.8966.733,560,424.6211.81
14,390,254.2531.84  
420,041.560.93  
226,386.200.5073,077.7732.28
226,386.200.5073,077.7732.28
45,191,692.90100.003,633,502.398.04

    
账面余额 坏账准备 
金额比例(%)金额计提比例(%)
126,192,156.3499.823,057,306.452.42
27,897,597.9222.073,057,306.4510.96
95,274,068.2075.36  
3,020,490.222.39  

226,039.180.1894,569.9841.84
226,039.180.1894,569.9841.84
126,418,195.52100.003,151,876.432.49

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)
5,931.2722,405.083,123,540.08
——————
   
   
   
   
-123.5315,925.02468,626.34
  1,147.25
   
-1,654.62  
4,153.1238,330.103,591,019.17

期初余额本期变动金额   
 计提收回或转回转销或核销其他
3,057,306.45504,265.421,147.25  
94,569.98-19,837.59  -1,654.62
3,151,876.43484,427.831,147.25 -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14,390,254.253个月以内31.84
保证金3,010,561.283个月-2年6.66
员工备用金2,401,043.993个月以内5.31
保证金1,127,305.303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1,019,237.453个月以内2.26
 21,948,402.27 48.56

  
账面余额跌价准备/减值准备
223,499,248.366,074,475.00
103,761.0338,674.41
75,100,660.88 
1,351,056,971.25108,942,269.30
546,933,915.6215,497,182.36
10,074,421.95 
3,528,619.58 
2,210,297,598.67130,552,601.07

  
账面余额跌价准备/减值准备
212,959,918.525,083,192.31
266,404.7897,317.58
90,498,578.88 
2,140,311,193.05101,125,135.79
1,144,852,004.999,982,021.26
10,482,237.6739,214.30
31,928,661.074,108.38
3,631,298,998.96116,330,989.62

期初数本期增加 本期减少 
 计提其他转回或转销其他
5,083,192.314,808,284.36 3,817,001.67 
97,317.5826,514.06 85,157.23 
101,125,135.7959,391,589.64263,736.5451,838,192.67 
9,982,021.2631,218,122.82 25,702,961.72 
39,214.30  39,214.30 
4,108.38  4,108.38 
116,330,989.6295,444,510.88263,736.5481,486,635.97 

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
1,187,133.55461,708.05
1,187,133.55461,708.05

  
账面余额减值准备
3,226,503.19462,636.22
3,226,503.19462,636.22

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(%)
1,187,133.55100.00461,708.0538.89
1,187,133.55100.00461,708.0538.89

    
账面余额 减值准备 
金额比例(%)金额计提比例(%)
3,226,503.19100.00462,636.2214.34
3,226,503.19100.00462,636.2214.34

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
656,205,518.06 656,205,518.0653,831,301.37 
3,620,602.6530,000.003,590,602.656,531,620.47120,000.00
659,826,120.7130,000.00659,796,120.7160,362,921.84120,000.00

期末数    
账面余额减值 准备账面价值账面余额减值 准备
656,205,518.06 656,205,518.0653,831,301.37 
656,205,518.06 656,205,518.0653,831,301.37 

    
面值票面利率(%)实际利率(%)到期日
150,000,000.002.702.702026-8-7
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 2,148,305.216,591,963.44 
46,506,438.38 46,506,438.3838,375,210.13 
190,382,026.90 190,382,026.90199,284,116.97 
53,335,578.88 53,335,578.88253,112,899.55 
70,340,986.30 70,340,986.3054,770,499.43 
608,632.91 608,632.91689,887.41 
9,588,955.30 9,588,955.309,205,786.05 
372,910,923.88 372,910,923.88562,030,362.98 

  
账面余额减值准备
1,661,029,964.49 

  
账面余额减值准备
1,661,029,964.49 

  
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
250,000,000.003.053.052027-5-24
150,000,000.003.153.152027-5-16
100,000,000.002.602.602027-6-21
500,000,000.00   

    
面值票面利率(%)实际利率(%)到期日
250,000,000.003.053.052027-5-24
150,000,000.002.702.702026-8-7
150,000,000.003.153.152027-5-16
100,000,000.002.602.602027-6-21
650,000,000.00   

  
账面余额减值准备
91,246,211.343,097,405.00

  
账面余额减值准备
91,246,211.343,097,405.00

  
账面余额减值准备
84,608,551.823,097,405.00
84,608,551.823,097,405.00

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
4,495,425.393,008,655.00  -1,164,382.41
2,675,560.3788,750.00  -254,635.11
     
     
81,511,146.823,097,405.00  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
(未完)
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