应该结合资产负债表垂直分析、资产负债表附注分析和资产负债表项目分析进行,同时还应注意与利润表、现金流量表结合进行分析评价。
(二)资产负债表垂直分析表
项目: 流动资产: 货币资金 应收票据 应收账款净额 其他应收款净额 预付账款 存货净额 其他流动资产 非流动资产: 固定资产净额 在建工程 无形资产 递延税项借项 非流动资产合计: 2014年 7,986,114,397.96 2,572,836,448.93 527,731,957.32 75,806,372.82 581,515,821.72 1,324,405,703.27 1,071,071,225.92 7,682,064,011.99 1,419,322,013.44 1,284,601,887.21 432,101,156.56 12,670,809,469.79 2013年 6,368,204,090.04 2,532,354,688.45 446,145,733.90 130,233,255.49 464,645,132.99 1,211,792,055.32 1,201,645,467.68 6,859,844,025.37 1,455,463,238.82 973,188,517.68 436,426,273.90 11,177,788,379.85 2014年变动率 29.728% 9.577% 1.964% 0.282% 2.165% 4.930% 3.987% 52.834% 28.596% 5.283% 4.782% 1.608% 47.17% 2013年变动率 26.902% 10.698% 1.885% 0.550% 1.963% 5.119% 5.076% 52.781% 28.978% 6.148% 4.111% 1.844% 47.22% 变动情况 2.826% -1.120% 0.080% -0.268% 0.202% -0.189% -1.089% 0.053% -0.382% -0.865% 0.671% -0.235% -0.05% 流动资产合计(元) 14,193,369,199.02 12,494,446,804.68 资产总计 流动负债: 短期借款 应付票据 应付账款 预收账款 应付股利 应交税金 其他应付款 其他流动负债 流动负债合计 非流动负债: 长期借款 递延税项贷项 非流动负债合计: 26,864,178,668.81 23,672,235,184.53 415,000,000.00 6,567,077,103.88 5,890,391,968.96 2,091,605,315.91 0.00 -46,618,523.70 1,189,953,071.01 73,029,534.12 860,000,000.00 3,239,200.47 2,023,054,794.00 100.000% 1.545% 24.445% 21.927% 7.786% 0.000% -0.174% 4.430% 0.272% 65.105% 3.201% 0.012% 7.53% 100.000% 0.000% 29.749% 17.505% 4.119% 0.019% -0.101% 5.175% 0.159% 61.861% 3.717% 0.159% 8.49% 0.000% 1.545% -5.303% 4.422% 3.667% -0.019% -0.072% -0.746% 0.113% 3.244% -0.516% -0.147% -0.96% 0.00 7,042,243,481.22 4,143,740,424.24 974,966,576.45 4,457,702.82 -23,937,133.08 1,225,134,610.29 37,615,688.43 880,000,000.00 37,557,975.06 2,010,906,496.58 17,489,852,141.53 14,643,885,181.69 负债合计 少数股东权益 股东权益: 股本 资本公积金 19,512,906,935.53 16,654,791,678.27 351,176,372.47 1,284,905,826.00 1,281,771,019.61 1,284,905,826.00 1,360,905,622.11 177,664,075.42 72.635% 1.307% 70.356% 0.751% 5.428% 5.749% 2.280% 0.557% -0.645% -0.978% 4.783% 4.771% 盈余公积金 未分配利润 货币换算差额 股东权益合计 负债及股东权益总计
1,210,939,090.96 3,224,212,780.55 0.00 7,351,271,733.28 1,092,451,687.80 3,097,980,264.56 -1,164,238.92 7,017,443,506.26 4.508% 12.002% 0.000% 27.365% 100.000% 4.615% 13.087% -0.005% 29.644% 100.000% -0.107% -1.085% 0.005% -2.280% 0.000% 26,864,178,668.81 23,672,235,184.53 利润表
(一) 利润水平分析表
项目 一、主营业务收入 减:主营业务成本 主营业务税金及附加 二、主营业务利润 营业费用 管理费用 财务费用 三、营业利润 加:投资收益 营业外收入 减:营业外支出 四、利润总额 减:所得税 减:少数股东损益 五、净利润 2,191,931,498.93 -93,844,004.12 178,067,811.69 97,990,281.72 410,518,015.24 17,500,860.63 571,084,966.30 32,007,785.63 10,377,131.80 539,077,180.67 2014 年 度 2013 年 度 增减额 549,170,518.22 -60,310,870.67 1,962,303,300.49 -106,749,302.50 26,567,326.91 185,737,645.37 4,437,975.60 102,745,333.81 14,795,633.43 229,628,198.44 12,905,298.38 71,422,954.81 224,780,369.87 13,062,885.03 -70,737,548.18 -4,418,501.63 11.70% -12.09% -79.14% 268.84% 121.02% 294.34% -44.81% -68.85% -29.86% -42.16% 增减率 1.63% 4.78% -8.60% 34,169,408,417.71 33,620,237,899.49 640,713,757.56 701,024,628.23 29,522,034,398.61 28,175,242,615.04 1,346,791,783.57 853,491,323.66 -675,423,511.97 1,034,790,993.43 -463,706,027.13 932,045,659.62 -392,968,478.95
(二) 利润垂直分析表
项目 一、主营业务收入 减: 主营业务成本 主营业务税金及附加 二、主营业务利润 营业费用 管理费用 财务费用 三、营业利润 加: 投资收益 营业外收入 6.41% -0.27% 0.52% 0.29% 1.20% 5.84% -0.32% 2.54% 0.08% 0.55% 2014年 100.00% 86.40% 1.88% 2013年 100.00% 83.80% 2.09% 减: 营业外支出 四、利润总额 减: 所得税 减: 少数股东损益 五、净利润 0.05% 1.67% 0.09% 0.03% 1.58% 0.01% 3.08% 0.31% 0.04% 2.77%
现金流量表分析
(一) 现金流量水平分析表
项目 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 收到的税费返还 收到的其他与经营活动有关的现金 经营活动现金流入小计 购买商品接受劳务支付的现金 支付给职工以及为职工支付的现金 支付的各项税费 支付的其他与经营活动有关的现金 经营活动现金流出小计 经营活动产生的现金流量净额 二、投资活动产生的现金流量: 收回投资所收到的现金 取得投资收益所收到的现金 处置固定无形和长期资产收回的现金 收到的其他与投资活动有关的现金 投资活动现金流入小计 购建固定无形和长期资产支付的现金 投资所支付的现金 支付的其他与投资活动有关的现金 投资活动现金流出小计 86,805,734.20 6,368,728.60 202,835,480.10 952,739,337.30 546,000,861.51 750,899,432.00 2,832,791.42 1,299,733,084.93 42,755,257.11 6,694,765.01 164,519,655.91 849,029,678.03 432,262,854.82 1,209,066,929.39 478,762.68 1,641,808,546.89 44,050,477.09 103.03% -326,036.41 38,315,824.19 103,709,659.27 113,738,006.69 -458,167,497.39 -4.87% 23.29% 12.22% 26.31% -37.89% 656,729,394.40 25,158,467,871.86 436,931,644.39 561,205,604.52 26,156,605,120.77 19,891,765,408.94 2,494,367,919.77 1,446,528,132.62 671,380,196.09 24,504,041,657.42 1,652,563,463.35 635,060,000.00 2014 年 2013 年 增加额 增减 8.08% -8.40% -9.35% 7.31% 13.22% 27.97% -11.97% -8.64% 11.91% -33.31% 21,669,394.40 3.41% 23,278,238,194.28 1,880,229,677.58 476,974,220.48 619,111,084.23 -40,042,576.09 -57,905,479.71 24,374,323,498.99 1,782,281,621.78 17,569,057,599.26 2,322,707,809.68 1,949,175,167.53 1,643,206,805.05 734,880,604.38 2,478,003,322.77 545,192,752.24 -196,678,672.43 -63,500,408.29 -825,439,859.42 21,896,320,176.22 2,607,721,481.20 2,354,028.74 491.69% -342,075,461.96 -20.84% 投资活动产生的现金流量净额 三、筹资活动产生的现金流量: 吸收投资所收到的现金 取得借款所收到的现金 筹资活动现金流入小计 偿还债务所支付的现金 分配股利、利润和偿付利息所支付的现金 筹资活动现金流出小计 筹资活动产生的现金流量净额 四、汇率变动对现金的影响 五、现金及现金等价物净增加额 净利润 加:计提的资产减值准备 无形资产及其他资产摊销 处置固定无形和其他长期资产的损失(减收益) 财务费用 投资损失(减收益) 存货的减少(减增加) 经营性应收项目的减少(减增加) 经营性应付项目的增加(减减少) 其他 经营活动产生之现金流量净额 货币资金的期末余额 减:货币资金的期初余额 现金及现金等价物净增加额 -346,993,747.63 162,764,100.00 2,821,073,529.20 2,983,837,629.20 2,317,171,921.20 390,425,928.61 3,553,998,262.24 -570,160,633.04 36,100,812.81 771,509,895.49 539,077,180.67 79,413,844.44 161,529,841.66 3,526,543.26 -106,226,229.44 -97,990,281.72 -146,416,060.22 -2,548,459,982.59 2,716,950,524.48 70,356,406.09 1,652,563,463.35 7,139,713,985.53 6,368,204,090.04 771,509,895.49 -792,778,868.86 4,200,000.00 1,872,365,089.00 1,829,449,539.00 229,515,715.37 -182,400,165.37 33,007,156.36 1,535,831,444.90 932,045,659.62 66,704,833.60 167,781,721.09 -36,502,068.75 -115,779,207.41 -26,567,326.91 -121,209,999.95 445,785,121.23 948,708,440.20 487,722,382.20 160,910,213.24 -56.23% 50.67% 59.01% 26.66% 70.11% 72.61% 9.37% -49.77% -42.16% 19.05% -3.73% 158,564,100.00 3775.34% 1,876,565,089.00 1,107,272,540.20 2,058,965,254.37 1,495,033,007.87 3,093,656.45 -764,321,549.41 -392,968,478.95 12,709,010.84 -6,251,879.43 -387,760,467.67 212.59% 40,028,612.01 -109.66% 9,552,977.97 -25,206,060.27 -8.25% 20.80% -71,422,954.81 268.84% -712,149,804.67 -1,836,310,177.92 257.85% 1,123,667,019.05 1,593,283,505.43 141.79% 424,500,309.21 2,478,003,322.77 6,368,204,090.04 -354,143,903.12 -825,439,859.42 771,509,895.49 -83.43% -33.31% 12.12% 31.78% -49.77% 4,832,372,645.14 1,535,831,444.90 1,535,831,444.90 -764,321,549.41
(二) 现金流量垂直分析表
1、2014年
项目 2014 年 流入结构 流出结构 内部结构

