"00d0402f-0ae4-4af4-bdbf-c58ae3c99bcd","OLD","COMPANY","COMPANY_CASH_FLOWS","34","0","1","OCC004","四、汇率变动对现金及现金等价物的影响","the impact of exchange rate changes on cash and cash equivalents",,"OCC004","四、汇率变动对现金及现金等价物的影响",,,"INPUT","admin","2024-12-09 18:09:08.0","admin","2024-12-13 18:43:22.0"
"00d0402f-0ae4-4af4-bdbf-c58ae3c99bcd","OLD","COMPANY","COMPANY_CASH_FLOWS","34","0","1","OCC004","四、汇率变动对现金及现金等价物的影响","the impact of exchange rate changes on cash and cash equivalents",,"SX1800033","四、汇率变动对现金及现金等价物的影响",,,"INPUT","admin","2024-12-09 18:09:08.0","admin","2025-07-31 17:31:23.0"
"0228afa6-d9ef-42d7-8e17-9e274f4fa63a","NEW","INSTITUTION","INSTITUTION_CASH_FLOWS","16","1","1","NIC002002","取得投资收益收到的现金","cash received from investment income","“取得投资收益收到的现金”项目,反映单位本年因对外投资而收到被投资单位分配的股利或利润,以及收到投资利息而取得的现金。本项目应当根据“库存现金”、“银行存款”、“应收股利”、“应收利息”、“投资收益”等科目的记录分析填列。","NIC002002","取得投资收益收到的现金","“取得投资收益收到的现金”项目,反映单位本年因对外投资而收到被投资单位分配的股利或利润,以及收到投资利息而取得的现金。本项目应当根据“库存现金”、“银行存款”、“应收股利”、“应收利息”、“投资收益”等科目的记录分析填列。",,"INPUT","admin","2024-12-12 17:31:02.0","admin","2024-12-13 18:13:55.0"
"03401b5d-e8c5-4d9d-bc6d-c83270377668","OLD","COMPANY","COMPANY_PROFIT","3","2","1","OCI001L02","税金及附加","less tax and extra",,"SL1800003","税金及附加",,,"INPUT","admin","2025-12-01 07:31:11.0","admin","2025-07-31 17:23:38.0"
"03401b5d-e8c5-4d9d-bc6d-c83270377668","OLD","COMPANY","COMPANY_PROFIT","3","2","1","OCI001L02","税金及附加","less tax and extra",,"OCI001L02","税金及附加",,,"INPUT","admin","2024-12-09 17:51:16.0","admin","2024-12-13 18:39:21.0"
"0669b0d6-f9d3-4cc8-9af4-0f28e4ddc188","NEW","COMPANY","COMPANY_LIABILITIES_AND_OWNERS_EQUITY","19","2","1","NCL00200201","其中:优先股","preferred stock of bonds",,"NCL00200201","其中:优先股",,,"INPUT","admin","2024-12-09 17:00:43.0","admin","2024-12-13 17:30:33.0"
"0783a141-f961-4253-bb81-777305e8b050","OLD","COMPANY","COMPANY_CASH_FLOWS","6","1","1","OCC001005","支付给职工以及为职工支付的现金","cash paid to and on behalf of employees",,"SX1800007","支付给职工以及为职工支付的现金",,,"INPUT","admin","2024-12-09 18:02:27.0","admin","2025-07-31 17:26:59.0"
"0783a141-f961-4253-bb81-777305e8b050","OLD","COMPANY","COMPANY_CASH_FLOWS","6","1","1","OCC001005","支付给职工以及为职工支付的现金","cash paid to and on behalf of employees",,"OCC001005","支付给职工以及为职工支付的现金",,,"INPUT","admin","2024-12-09 18:02:27.0","admin","2024-12-13 18:45:01.0"
"088c9608-1e6f-4ec6-a094-d2a5784398da","NEW","COMPANY","COMPANY_CASH_FLOWS","30","1","1","NCC003005","分配股利、利润或偿付利息支付的现金","cash for the distribution of dividends profits or interest payments",,"NCC003005","分配股利、利润或偿付利息支付的现金",,,"INPUT","admin","2024-12-09 18:07:55.0","admin","2024-12-13 17:44:20.0"
"0a346241-c9ef-41da-90c9-d2f37b1e4029","OLD","COMPANY","COMPANY_ASSETS","20","1","1","OCA002004","长期股权投资","long term equity investment",,"SZ1800017","长期股权投资",,,"INPUT","admin","2024-12-09 17:01:09.0","admin","2025-07-31 17:20:18.0"
"0a346241-c9ef-41da-90c9-d2f37b1e4029","OLD","COMPANY","COMPANY_ASSETS","20","1","1","OCA002004","长期股权投资","long term equity investment",,"OCA002004","长期股权投资",,,"INPUT","admin","2024-12-09 17:01:09.0","admin","2024-12-13 18:29:57.0"
"0be78235-4ea4-418c-beee-a36a85d5c9d8","NEW","COMPANY","COMPANY_CASH_FLOWS","35","0","1","NCC005","五、现金及现金等价物净增加额","net increase in cash and cash equivalents",,"NCC005","五、现金及现金等价物净增加额",,,"INPUT","admin","2024-12-09 18:09:13.0","admin","2024-12-13 17:41:16.0"
"0d4dc66d-1c95-47f1-a263-03ce4a72e7db","NEW","INSTITUTION","INSTITUTION_CASH_FLOWS","4","1","1","NIC001003","事业活动收到的除财政拨款以外的现金","cash received from institution activities other than financial appropriations","“事业活动收到的除财政拨款以外的现金”项目,反映事业单位本年开展专业业务活动及其辅助活动取得的除财政拨款以外的现金。本项目应当根据“库存现金”、“银行存款”、“其他货币资金”、“应收账款”、“应收票据”、“预收账款”、“事业收入”等科目及其所属明细科目的记录分析填列。","NIC001003","事业活动收到的除财政拨款以外的现金","“事业活动收到的除财政拨款以外的现金”项目,反映事业单位本年开展专业业务活动及其辅助活动取得的除财政拨款以外的现金。本项目应当根据“库存现金”、“银行存款”、“其他货币资金”、“应收账款”、“应收票据”、“预收账款”、“事业收入”等科目及其所属明细科目的记录分析填列。",,"INPUT","admin","2024-12-12 17:26:15.0","admin","2024-12-13 18:11:27.0"
"0da4eadc-fd7e-46e0-95a6-3a5f82f0efc8","NEW","INSTITUTION","INSTITUTION_CASH_FLOWS","33","1","1","NIC003006","支付的其他与筹资活动有关的现金","other cash disbursed in connection with fund raising activities","“支付的其他与筹资活动有关的现金”项目,反映单位本年支付的除上述项目之外与筹资活动有关的现金,如融资租入固定资产所支付的租赁费。本项目应当根据“库存现金”、“银行存款”、“长期应付款”等科目的记录分析填列。","NIC003006","支付的其他与筹资活动有关的现金","“支付的其他与筹资活动有关的现金”项目,反映单位本年支付的除上述项目之外与筹资活动有关的现金,如融资租入固定资产所支付的租赁费。本项目应当根据“库存现金”、“银行存款”、“长期应付款”等科目的记录分析填列。",,"INPUT","admin","2024-12-12 17:34:33.0","admin","2024-12-13 18:19:48.0"
"0fe19cb4-15cd-45ba-b988-74a3f357785a","NEW","COMPANY","COMPANY_CASH_FLOWS","14","1","1","NCC002003","处置固定资产、无形资产和其他长期资产收回的现金净额","net cash received from disposal of fixed assets intangible assets and other long term assets",,"NCC002003","处置固定资产、无形资产和其他长期资产收回的现金净额",,,"INPUT","admin","2024-12-09 18:04:03.0","admin","2024-12-13 17:42:43.0"
"109b20fc-c281-4e53-8cf3-7d99405aedcf","NEW","COMPANY","COMPANY_CASH_FLOWS","33","3","1","NCC003T","筹资活动产生的现金流量净额","net cash flow from financing activities",,"NCC003T","筹资活动产生的现金流量净额",,,"INPUT","admin","2024-12-09 18:09:02.0","admin","2024-12-13 18:00:48.0"
"11389a24-621d-48aa-9d19-5dd879282994","OLD","COMPANY","COMPANY_LIABILITIES_AND_OWNERS_EQUITY","13","1","1","OCL001011","一年内到期的非流动负债","non current liabilities in a year",,"OCL001011","一年内到期的非流动负债",,,"INPUT","admin","2024-12-09 16:57:39.0","admin","2024-12-13 18:34:54.0"
"11389a24-621d-48aa-9d19-5dd879282994","OLD","COMPANY","COMPANY_LIABILITIES_AND_OWNERS_EQUITY","13","1","1","OCL001011","一年内到期的非流动负债","non current liabilities in a year",,"OCL001011","一年内到期的非流动负债",,,"INPUT","admin","2024-12-09 16:57:39.0","admin","2024-12-13 18:34:54.0"
"11fa66c7-83ce-4e2e-9b7e-6f230d118492","OLD","COMPANY","COMPANY_CASH_FLOWS","30","1","1","OCC003005","分配股利、利润或偿付利息支付的现金","cash for the distribution of dividends profits or interest payments",,"OCC003005","分配股利、利润或偿付利息支付的现金",,,"INPUT","admin","2024-12-09 18:07:55.0","admin","2024-12-13 18:47:18.0"
"11fa66c7-83ce-4e2e-9b7e-6f230d118492","OLD","COMPANY","COMPANY_CASH_FLOWS","30","1","1","OCC003005","分配股利、利润或偿付利息支付的现金","cash for the distribution of dividends profits or interest payments",,"SX1800029","分配股利、利润或偿付利息支付的现金",,,"INPUT","admin","2024-12-09 18:07:55.0","admin","2025-07-31 17:30:40.0"
"1391e8ae-ea62-4e29-a558-483851585a3d","NEW","INSTITUTION","INSTITUTION_LIABILITIES_AND_NET_ASSETS","30","1","1","NIN005","本期盈余*","earnings for the period","“本期盈余”项目,反映单位本年度截至报告期期末实现的累计盈余或亏损。本项目仅在月度报表中列示,年度报表中不列示。月度报表中本项目应当根据“本期盈余”科目的期末余额填列;“本期盈余”科目期末为借方余额时,以“-”号填列。","NIN005","本期盈余*","“本期盈余”项目,反映单位本年度截至报告期期末实现的累计盈余或亏损。本项目仅在月度报表中列示,年度报表中不列示。月度报表中本项目应当根据“本期盈余”科目的期末余额填列;“本期盈余”科目期末为借方余额时,以“-”号填列。",,"INPUT","admin","2024-12-13 16:11:06.0","admin","2024-12-13 18:07:38.0"
"147b25f3-1399-45f0-bec2-99651219f877","OLD","COMPANY","COMPANY_CASH_FLOWS","21","1","1","OCC002009","支付其他与投资活动有关的现金","payments of other cash related to investment activities",,"OCC002009","支付其他与投资活动有关的现金",,,"INPUT","admin","2024-12-09 18:06:04.0","admin","2024-12-13 18:46:38.0"
"147b25f3-1399-45f0-bec2-99651219f877","OLD","COMPANY","COMPANY_CASH_FLOWS","21","1","1","OCC002009","支付其他与投资活动有关的现金","payments of other cash related to investment activities",,"SX1800020","支付其他与投资活动有关的现金",,,"INPUT","admin","2024-12-09 18:06:04.0","admin","2025-07-31 17:29:23.0"
"15ed902b-6ee7-4f61-b6cf-dd63a4083058","OLD","COMPANY","COMPANY_LIABILITIES_AND_OWNERS_EQUITY","26","1","1","OCL002007","其他非流动负债","other non current liabilities",,"OCL002007","其他非流动负债",,,"INPUT","admin","2024-12-09 17:05:40.0","admin","2024-12-13 18:36:22.0"
"15ed902b-6ee7-4f61-b6cf-dd63a4083058","OLD","COMPANY","COMPANY_LIABILITIES_AND_OWNERS_EQUITY","26","1","1","OCL002007","其他非流动负债","other non current liabilities",,"OCL002007","其他非流动负债",,,"INPUT","admin","2024-12-09 17:05:40.0","admin","2024-12-13 18:36:22.0"
"17933ce2-ee4b-4d8e-9de7-a690e6ac619f","NEW","INSTITUTION","INSTITUTION_INCOME_AND_EXPENSES","15","1","1","NIE001001","(一)业务活动费用","expenses for operational activities","“业务活动费用”项目,反映单位本期为实现其职能目标,依法履职或开展专业业务活动及其辅助活动所发生的各项费用。本项目应当根据“业务活动费用”科目本期发生额填列。","NIE001001","(一)业务活动费用","“业务活动费用”项目,反映单位本期为实现其职能目标,依法履职或开展专业业务活动及其辅助活动所发生的各项费用。本项目应当根据“业务活动费用”科目本期发生额填列。",,"INPUT","admin","2024-12-12 17:13:38.0","admin","2024-12-13 18:09:34.0"
"18c70882-15cc-42cb-a0a9-d5e25aef88e9","OLD","COMPANY","COMPANY_CASH_FLOWS","14","1","1","OCC002003","处置固定资产、无形资产和其他长期资产收回的现金净额","net cash received from disposal of fixed assets intangible assets and other long term assets",,"SX1800015","处置固定资产、无形资产和其他长期资产收回的现金净额",,,"INPUT","admin","2024-12-09 18:04:03.0","admin","2025-07-31 17:28:09.0"
"18064722-49d9-486a-99e7-2357c20c907d","NEW","INSTITUTION","INSTITUTION_LIABILITIES_AND_NET_ASSETS","29","1","1","NIN004","无偿调拨净资产*","transfer of net assets without compensation","“无偿调拨净资产”项目,反映单位本年度截至报告期期末无偿调入的非现金资产价值扣减无偿调出的非现金资产价值后的净值。本项目仅在月度报表中列示,年度报表中不列示。月度报表中本项目应当根据“无偿调拨净资产”科目的期末余额填列;“无偿调拨净资产”科目期末为借方余额时,以“-”号填列。","NIN004","无偿调拨净资产*","“无偿调拨净资产”项目,反映单位本年度截至报告期期末无偿调入的非现金资产价值扣减无偿调出的非现金资产价值后的净值。本项目仅在月度报表中列示,年度报表中不列示。月度报表中本项目应当根据“无偿调拨净资产”科目的期末余额填列;“无偿调拨净资产”科目期末为借方余额时,以“-”号填列。",,"INPUT","admin","2024-12-13 16:09:59.0","admin","2024-12-13 18:07:34.0"
"185dc934-0fab-418d-baaa-f773350bb84b","NEW","INSTITUTION","INSTITUTION_CASH_FLOWS","20","1","1","NIC002005","购建固定资产、无形资产、公共基础设施等支付的现金","cash paid for the purchase and construction of fixed assets intangible assets public infrastructure etc","“购建固定资产、无形资产、公共基础设施等支付的现金”项目,反映单位本年购买和建造固定资产、无形资产、公共基础设施等非流动资产所支付的现金;融资租入固定资产支付的租赁费不在本项目反映,在筹资活动的现金流量中反映。本项目应当根据“库存现金”、“银行存款”、“固定资产”、“工程物资”、“在建工程” 、“无形资产”、“研发支出”、“公共基础设施”、“保障性住房”等科目的记录分析填列。","NIC002005","购建固定资产、无形资产、公共基础设施等支付的现金","“购建固定资产、无形资产、公共基础设施等支付的现金”项目,反映单位本年购买和建造固定资产、无形资产、公共基础设施等非流动资产所支付的现金;融资租入固定资产支付的租赁费不在本项目反映,在筹资活动的现金流量中反映。本项目应当根据“库存现金”、“银行存款”、“固定资产”、“工程物资”、“在建工程” 、“无形资产”、“研发支出”、“公共基础设施”、“保障性住房”等科目的记录分析填列。",,"INPUT","admin","2024-12-12 17:31:53.0","admin","2024-12-13 18:14:15.0"
"18c70882-15cc-42cb-a0a9-d5e25aef88e9","OLD","COMPANY","COMPANY_CASH_FLOWS","14","1","1","OCC002003","处置固定资产、无形资产和其他长期资产收回的现金净额","net cash received from disposal of fixed assets intangible assets and other long term assets",,"OCC002003","处置固定资产、无形资产和其他长期资产收回的现金净额",,,"INPUT","admin","2024-12-09 18:04:03.0","admin","2024-12-13 18:46:09.0"
"198cc469-7b9c-46e2-8a84-6669ca58269c","OLD","COMPANY","COMPANY_PROFIT","37","1","1","OCI007002","(二)稀释每股收益","diluted earnings per share",,"OCI007002","(二)稀释每股收益",,,"INPUT","admin","2024-12-09 17:59:55.0","admin","2024-12-13 18:42:22.0"
"198cc469-7b9c-46e2-8a84-6669ca58269c","OLD","COMPANY","COMPANY_PROFIT","37","1","1","OCI007002","(二)稀释每股收益","diluted earnings per share",,"OCI007002","(二)稀释每股收益",,,"INPUT","admin","2024-12-09 17:59:55.0","admin","2024-12-13 18:42:22.0"
"1a7de9c4-93a0-4733-b149-c5e3d5c3f850","NEW","COMPANY","COMPANY_CASH_FLOWS","24","0","0","NCC003","三、筹资活动产生的现金流量:","cash flows from financing activities",,"NCC003","三、筹资活动产生的现金流量:",,,"INPUT","admin","2024-12-09 18:06:25.0","admin","2024-12-13 17:41:06.0"
"1b2fef73-3046-4731-8242-2b04f4f931d6","NEW","INSTITUTION","INSTITUTION_CASH_FLOWS","8","1","1","NIC001005","购买商品、接受劳务支付的现金","cash for the purchase of goods and payment for services","“购买商品、接受劳务支付的现金”项目,反映单位本年在日常活动中用于购买商品、接受劳务支付的现金。本项目应当根据“库存现金”、“银行存款”、“财政拨款收入”、“零余额账户用款额度”、“预付账款”、“在途物品”、“库存物品”、“应付账款”、“应付票据”、“业务活动费用”、“单位管理费用”、“经营费用”等科目及其所属明细科目的记录分析填列。","NIC001005","购买商品、接受劳务支付的现金","“购买商品、接受劳务支付的现金”项目,反映单位本年在日常活动中用于购买商品、接受劳务支付的现金。本项目应当根据“库存现金”、“银行存款”、“财政拨款收入”、“零余额账户用款额度”、“预付账款”、“在途物品”、“库存物品”、“应付账款”、“应付票据”、“业务活动费用”、“单位管理费用”、“经营费用”等科目及其所属明细科目的记录分析填列。",,"INPUT","admin","2024-12-12 17:29:04.0","admin","2024-12-13 18:12:07.0"
"1ba8dff5-80e2-404e-987b-c59655fce46d","NEW","COMPANY","COMPANY_PROFIT","15","2","1","NCI00100203","公允价值变动收益(损失以“-”号填列)","add income of fair value change","“其他权益工具投资公允价值变动”项目,反映企业指定为以公允价值计量且其变动计入其他综合收益的非交易性权益工具投资发生的公允价值变动。该项目应根据“其他综合收益”科目的相关明细科目的发生额分析填列。","NCI00100203","公允价值变动收益(损失以“-”号填列)","“其他权益工具投资公允价值变动”项目,反映企业指定为以公允价值计量且其变动计入其他综合收益的非交易性权益工具投资发生的公允价值变动。该项目应根据“其他综合收益”科目的相关明细科目的发生额分析填列。",,"INPUT","admin","2024-12-09 17:54:48.0","admin","2024-12-13 17:37:48.0"
"21f400c2-c918-4715-9f12-21ccf4e8f81a","NEW","INSTITUTION","INSTITUTION_CASH_FLOWS","23","1","1","NIC002008","支付的其他与投资活动有关的现金","other cash paid in connection with investment activities","“支付的其他与投资活动有关的现金”项目,反映单位本年支付的除上述项目之外与投资活动有关的现金。对于金额较大的现金流出,应当单列项目反映。本项目应当根据“库存现金”、“银行存款”等有关科目的记录分析填列。","NIC002008","支付的其他与投资活动有关的现金","“支付的其他与投资活动有关的现金”项目,反映单位本年支付的除上述项目之外与投资活动有关的现金。对于金额较大的现金流出,应当单列项目反映。本项目应当根据“库存现金”、“银行存款”等有关科目的记录分析填列。",,"INPUT","admin","2024-12-12 17:32:24.0","admin","2024-12-13 18:14:26.0"
"23048b0f-fe33-41db-aa4d-10d53e6a6690","OLD","COMPANY","COMPANY_PROFIT","27","2","1","OCI00500102","2.权益法下不能转损益的其他综合收益","other comprehensive income that cannot be converted into profit or loss under the equity method",,"OCI00500102","2.权益法下不能转损益的其他综合收益",,,"INPUT","admin","2024-12-13 14:58:30.0","admin","2024-12-13 18:41:42.0"
"23048b0f-fe33-41db-aa4d-10d53e6a6690","OLD","COMPANY","COMPANY_PROFIT","27","2","1","OCI00500102","2.权益法下不能转损益的其他综合收益","other comprehensive income that cannot be converted into profit or loss under the equity method",,"OCI00500102","2.权益法下不能转损益的其他综合收益",,,"INPUT","admin","2024-12-13 14:58:30.0","admin","2024-12-13 18:41:42.0"
"237b5496-7b90-4f8b-8043-ad3bb256df53","NEW","COMPANY","COMPANY_CASH_FLOWS","32","2","1","NCC003STO","筹资活动现金流出小计","subtotal cash outflows from financing activities",,"NCC003STO","筹资活动现金流出小计",,,"INPUT","admin","2024-12-09 18:08:55.0","admin","2024-12-13 18:00:41.0"
"23ac1d15-f020-4b6c-8c69-3cfffc3dfe28","OLD","COMPANY","COMPANY_PROFIT","26","2","1","OCI00500101","1.重新计量设定受益计划变动额","remeasurement of changes in defined benefit plans",,"OCI00500101","1.重新计量设定受益计划变动额",,,"INPUT","admin","2024-12-13 14:57:48.0","admin","2024-12-13 18:41:39.0"
"23ac1d15-f020-4b6c-8c69-3cfffc3dfe28","OLD","COMPANY","COMPANY_PROFIT","26","2","1","OCI00500101","1.重新计量设定受益计划变动额","remeasurement of changes in defined benefit plans",,"OCI00500101","1.重新计量设定受益计划变动额",,,"INPUT","admin","2024-12-13 14:57:48.0","admin","2024-12-13 18:41:39.0"
"26326208-ff81-449d-a5d2-acd21b6bc37a","NEW","COMPANY","COMPANY_CASH_FLOWS","25","1","1","NCC003001","吸收投资收到的现金","absorb cash received from investments",,"NCC003001","吸收投资收到的现金",,,"INPUT","admin","2024-12-09 18:06:31.0","admin","2024-12-13 17:43:38.0"
"285180b5-74b3-497d-9b15-34f2f4f5a5a1","NEW","INSTITUTION","INSTITUTION_CASH_FLOWS","22","1","1","NIC002007","上缴处置固定资产、无形资产、公共基础设施等净收入支付的现金","cash paid from net income from the disposal of fixed assets intangible assets public infrastructure etc","“上缴处置固定资产、无形资产、公共基础设施等净收入支付的现金”项目,反映本年单位将处置固定资产、无形资产、公共基础设施等非流动资产所收回的现金净额予以上缴财政所支付的现金。本项目应当根据“库存现金”、“银行存款”、“应缴财政款”等科目的记录分析填列。","NIC002007","上缴处置固定资产、无形资产、公共基础设施等净收入支付的现金","“上缴处置固定资产、无形资产、公共基础设施等净收入支付的现金”项目,反映本年单位将处置固定资产、无形资产、公共基础设施等非流动资产所收回的现金净额予以上缴财政所支付的现金。本项目应当根据“库存现金”、“银行存款”、“应缴财政款”等科目的记录分析填列。",,"INPUT","admin","2024-12-12 17:32:14.0","admin","2024-12-13 18:14:23.0"
"28f27383-1c34-4663-a059-7665fa6dc5f3","OLD","COMPANY","COMPANY_CASH_FLOWS","9","2","1","OCC001STO","经营活动现金流出小计","subtotal cash outflows from operating activities",,"OCC001STO","经营活动现金流出小计",,,"INPUT","admin","2024-12-09 18:02:57.0","admin","2024-12-13 18:45:17.0"
"2ab7963e-d138-4bff-9989-6f7d69349a01","NEW","COMPANY","COMPANY_ASSETS","34","1","1","NCA002018","其他非流动资产","other non current assets",,"NCA002018","其他非流动资产",,,"INPUT","admin","2024-12-09 17:11:05.0","admin","2024-12-13 17:27:01.0"
"2c15416a-8801-44bb-b1b2-e19dfd8c4290","OLD","COMPANY","COMPANY_PROFIT","25","1","1","OCI005001","(一)不能重分类进损益的其他综合收益","other comprehensive income that can not be reclassified",,"OCI005001","(一)不能重分类进损益的其他综合收益",,,"INPUT","admin","2024-12-09 17:58:26.0","admin","2024-12-13 18:41:24.0"
"2c15416a-8801-44bb-b1b2-e19dfd8c4290","OLD","COMPANY","COMPANY_PROFIT","25","1","1","OCI005001","(一)不能重分类进损益的其他综合收益","other comprehensive income that can not be reclassified",,"OCI005001","(一)不能重分类进损益的其他综合收益",,,"INPUT","admin","2024-12-09 17:58:26.0","admin","2024-12-13 18:41:24.0"
"2cff99bc-649f-44d0-a74f-577317672fb3","NEW","INSTITUTION","INSTITUTION_CASH_FLOWS","5","1","1","NIC001004","收到的其他与日常活动有关的现金","other cash received in connection with daily activities","“收到的其他与日常活动有关的现金”项目,反映单位本年收到的除以上项目之外的与日常活动有关的现金。本项目应当根据“库存现金”、“银行存款”、“其他货币资金”、“上级补助收入”、“附属单位上缴收入”、“经营收入”、“非同级财政拨款收入”、“捐赠收入”、“利息收入”、“租金收入”、“其他收入”等科目及其所属明细科目的记录分析填列。","NIC001004","收到的其他与日常活动有关的现金","“收到的其他与日常活动有关的现金”项目,反映单位本年收到的除以上项目之外的与日常活动有关的现金。本项目应当根据“库存现金”、“银行存款”、“其他货币资金”、“上级补助收入”、“附属单位上缴收入”、“经营收入”、“非同级财政拨款收入”、“捐赠收入”、“利息收入”、“租金收入”、“其他收入”等科目及其所属明细科目的记录分析填列。",,"INPUT","admin","2024-12-12 17:27:10.0","admin","2024-12-13 18:11:31.0"
"2e733726-6140-493c-a7d3-570eaa0b5267","OLD","COMPANY","COMPANY_CASH_FLOWS","33","3","1","OCC003T","筹资活动产生的现金流量净额","net cash flow from financing activities",,"SX1800032","筹资活动产生的现金流量净额",,,"INPUT","admin","2024-12-09 18:09:02.0","admin","2025-07-31 17:31:13.0"
"2d3c186e-8480-40ac-af49-5014a66319ce","NEW","INSTITUTION","INSTITUTION_CASH_FLOWS","18","1","1","NIC002004","收到的其他与投资活动有关的现金","other cash received in connection with investing activities","“收到的其他与投资活动有关的现金”项目,反映单位本年收到的除上述项目之外与投资活动有关的现金。对于金额较大的现金流入,应当单列项目反映。本项目应当根据“库存现金”、“银行存款”等有关科目的记录分析填列。","NIC002004","收到的其他与投资活动有关的现金","“收到的其他与投资活动有关的现金”项目,反映单位本年收到的除上述项目之外与投资活动有关的现金。对于金额较大的现金流入,应当单列项目反映。本项目应当根据“库存现金”、“银行存款”等有关科目的记录分析填列。",,"INPUT","admin","2024-12-12 17:31:30.0","admin","2024-12-13 18:14:04.0"
"2ea6fec8-29e9-45ed-acd4-82923aac2d9e","OLD","COMPANY","COMPANY_CASH_FLOWS","5","1","1","OCC001004","购买商品、接受劳务支付的现金","cash for the purchase of goods and payment for services",,"SX1800006","购买商品、接受劳务支付的现金",,,"INPUT","admin","2024-12-09 18:02:18.0","admin","2025-07-31 17:26:49.0"
"2e733726-6140-493c-a7d3-570eaa0b5267","OLD","COMPANY","COMPANY_CASH_FLOWS","33","3","1","OCC003T","筹资活动产生的现金流量净额","net cash flow from financing activities",,"OCC003T","筹资活动产生的现金流量净额",,,"INPUT","admin","2024-12-09 18:09:02.0","admin","2024-12-13 18:47:31.0"
"2ea6fec8-29e9-45ed-acd4-82923aac2d9e","OLD","COMPANY","COMPANY_CASH_FLOWS","5","1","1","OCC001004","购买商品、接受劳务支付的现金","cash for the purchase of goods and payment for services",,"OCC001004","购买商品、接受劳务支付的现金",,,"INPUT","admin","2024-12-09 18:02:18.0","admin","2024-12-13 18:44:54.0"
"2f9ab3e8-08f1-4b24-8864-e038419e9973","NEW","COMPANY","COMPANY_CASH_FLOWS","31","1","1","NCC003006","支付其他与筹资活动有关的现金","disbursement of other cash related to fund raising activities",,"NCC003006","支付其他与筹资活动有关的现金",,,"INPUT","admin","2024-12-09 18:08:50.0","admin","2024-12-13 17:44:24.0"
"30e41dfe-f7b3-42da-bacd-7794abd2dae2","NEW","COMPANY","COMPANY_PROFIT","13","5","1","NCI0010020102","以摊余成本计量的金融资产终止确认收益(损失以“-”号填列)","including income on financial assets measured at amortized cost","“以摊余成本计量的金融资产终止确认收益”项目,反映企业因转让等情形导致终止确认以摊余成本计量的金融资产而产生的利得或损失。该项目应根据“投资收益”科目的相关明细科目的发生额分析填列;如为损失,以“-”号填列。","NCI0010020102","以摊余成本计量的金融资产终止确认收益(损失以“-”号填列)","“以摊余成本计量的金融资产终止确认收益”项目,反映企业因转让等情形导致终止确认以摊余成本计量的金融资产而产生的利得或损失。该项目应根据“投资收益”科目的相关明细科目的发生额分析填列;如为损失,以“-”号填列。",,"INPUT","admin","2024-12-09 17:54:04.0","admin","2024-12-13 17:37:28.0"
"362d5901-c0c4-4261-aa7f-d3886865c365","OLD","COMPANY","COMPANY_LIABILITIES_AND_OWNERS_EQUITY","2","1","1","OCL001002","以公允价值计量且其变动计入当期损益的金融负债","financial liabilities at fair value through profit or loss",,"OCL001002","以公允价值计量且其变动计入当期损益的金融负债",,,"INPUT","admin","2024-12-09 16:54:36.0","admin","2024-12-13 18:34:16.0"
"362d5901-c0c4-4261-aa7f-d3886865c365","OLD","COMPANY","COMPANY_LIABILITIES_AND_OWNERS_EQUITY","2","1","1","OCL001002","以公允价值计量且其变动计入当期损益的金融负债","financial liabilities at fair value through profit or loss",,"OCL001002","以公允价值计量且其变动计入当期损益的金融负债",,,"INPUT","admin","2024-12-09 16:54:36.0","admin","2024-12-13 18:34:16.0"
"368c0758-b52f-4ebb-87d0-aa9d4e4ab245","NEW","COMPANY","COMPANY_PROFIT","28","1","1","NCI005001","(一)不能重分类进损益的其他综合收益","other comprehensive income that can not be reclassified",,"NCI005001","(一)不能重分类进损益的其他综合收益",,,"INPUT","admin","2024-12-09 17:58:26.0","admin","2024-12-13 17:39:10.0"
"37b1370c-4871-46a9-af8b-cabcca5cf04b","OLD","COMPANY","COMPANY_LIABILITIES_AND_OWNERS_EQUITY","15","2","1","OCL001T","流动负债合计","total current liabilities",,"OCL001T","流动负债合计",,,"INPUT","admin","2024-12-09 16:58:10.0","admin","2024-12-13 18:35:08.0"
"37b1370c-4871-46a9-af8b-cabcca5cf04b","OLD","COMPANY","COMPANY_LIABILITIES_AND_OWNERS_EQUITY","15","2","1","OCL001T","流动负债合计","total current liabilities",,"OCL001T","流动负债合计",,,"INPUT","admin","2024-12-09 16:58:10.0","admin","2024-12-13 18:35:08.0"
"38537eb9-f9f7-47d2-9823-987a2d96d327","OLD","COMPANY","COMPANY_LIABILITIES_AND_OWNERS_EQUITY","27","2","1","OCL002T","非流动负债合计","total non current liabilities",,"OCL002T","非流动负债合计",,,"INPUT","admin","2024-12-09 17:06:19.0","admin","2024-12-13 18:33:47.0"
"38537eb9-f9f7-47d2-9823-987a2d96d327","OLD","COMPANY","COMPANY_LIABILITIES_AND_OWNERS_EQUITY","27","2","1","OCL002T","非流动负债合计","total non current liabilities",,"OCL002T","非流动负债合计",,,"INPUT","admin","2024-12-09 17:06:19.0","admin","2024-12-13 18:33:47.0"
"39acc1de-7bf2-4467-a447-f63bb084de40","OLD","COMPANY","COMPANY_ASSETS","33","1","1","OCA002014","递延所得税资产","deferred income tax assets",,"OCA002014","递延所得税资产",,,"INPUT","admin","2024-12-09 17:10:02.0","admin","2024-12-13 18:30:38.0"
"39acc1de-7bf2-4467-a447-f63bb084de40","OLD","COMPANY","COMPANY_ASSETS","33","1","1","OCA002014","递延所得税资产","deferred income tax assets",,"OCA002014","递延所得税资产",,,"INPUT","admin","2024-12-09 17:10:02.0","admin","2024-12-13 18:30:38.0"
"3a1e7352-6a0c-4052-a2da-7164d01977d7","NEW","COMPANY","COMPANY_PROFIT","5","2","1","NCI00100103","管理费用","less general and administrative expenses",,"NCI00100103","管理费用",,,"INPUT","admin","2024-12-09 17:51:57.0","admin","2024-12-13 17:36:15.0"
"3a8f6042-81ac-47a4-8f75-f370cdfc2e85","NEW","INSTITUTION","INSTITUTION_CASH_FLOWS","13","3","1","NIC001T","日常活动产生的现金流量净额","net cash flow from day to day activities","“日常活动产生的现金流量净额”项目,应当按照本表中“日常活动的现金流入小计”项目金额减去“日常活动的现金流出小计”项目金额后的金额填列;如为负数,以“-”号填列。","NIC001T","日常活动产生的现金流量净额","“日常活动产生的现金流量净额”项目,应当按照本表中“日常活动的现金流入小计”项目金额减去“日常活动的现金流出小计”项目金额后的金额填列;如为负数,以“-”号填列。",,"INPUT","admin","2024-12-12 17:30:27.0","admin","2024-12-13 18:12:48.0"
"3aade5be-9f75-42b2-8681-617e3a553c68","OLD","COMPANY","COMPANY_CASH_FLOWS","25","1","1","OCC003001","吸收投资收到的现金","absorb cash received from investments",,"SX1800024","吸收投资收到的现金",,,"INPUT","admin","2024-12-09 18:06:31.0","admin","2025-07-31 17:29:59.0"
"3aade5be-9f75-42b2-8681-617e3a553c68","OLD","COMPANY","COMPANY_CASH_FLOWS","25","1","1","OCC003001","吸收投资收到的现金","absorb cash received from investments",,"OCC003001","吸收投资收到的现金",,,"INPUT","admin","2024-12-09 18:06:31.0","admin","2024-12-13 18:46:58.0"
"3b2e766c-43e2-4e55-b664-05eb8ddfcb23","OLD","COMPANY","COMPANY_CASH_FLOWS","27","1","1","OCC003003","收到其他与筹资活动有关的现金","other cash received in connection with fund raising activities",,"SX1800026","收到其他与筹资活动有关的现金",,,"INPUT","admin","2024-12-09 18:07:35.0","admin","2025-07-31 17:30:16.0"
"3b2e766c-43e2-4e55-b664-05eb8ddfcb23","OLD","COMPANY","COMPANY_CASH_FLOWS","27","1","1","OCC003003","收到其他与筹资活动有关的现金","other cash received in connection with fund raising activities",,"OCC003003","收到其他与筹资活动有关的现金",,,"INPUT","admin","2024-12-09 18:07:35.0","admin","2024-12-13 18:47:05.0"
"3d477046-2d82-4b11-821f-2851f6bfb4a9","NEW","COMPANY","COMPANY_CASH_FLOWS","4","2","1","NCC001STI","经营活动现金流入小计","sub total of cash flow from operating activities",,"NCC001STI","经营活动现金流入小计",,,"INPUT","admin","2024-12-09 18:01:14.0","admin","2024-12-13 17:59:04.0"
"3d5fa14e-f6b3-494f-8493-a64d113f32ab","NEW","INSTITUTION","INSTITUTION_CASH_FLOWS","12","2","1","NIC001STO","日常活动的现金流出小计","subtotal cash outflows from day to day activities","“日常活动的现金流出小计”项目,反映单位本年日常活动产生的现金流出的合计数。本项目应当根据本表中“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”、“支付的其他与日常活动有关的现金”项目金额的合计数填列。","NIC001STO","日常活动的现金流出小计","“日常活动的现金流出小计”项目,反映单位本年日常活动产生的现金流出的合计数。本项目应当根据本表中“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”、“支付的其他与日常活动有关的现金”项目金额的合计数填列。",,"INPUT","admin","2024-12-12 17:30:15.0","admin","2024-12-13 18:12:40.0"
"3fcc5f08-c8b9-4f8a-9920-aa411c363eb8","NEW","COMPANY","COMPANY_PROFIT","18","2","1","NCI00100206","资产处置收益(损失以“-”号填列)","add income of disposal of assets","“资产处置收益”项目,反映企业出售划分为持有待售的非流动资产(金融工具、长期股权投资和投资性房地产除外)或处置组(子公司和业务除外)时确认的处置利得或损失,以及处置未划分为持有待售的固定资产、在建工程、生产性生物资产及无形资产而产生的处置利得或损失。债务重组中因处置非流动资产(金融工具、长期股权投资和投资性房地产除外)产生的利得或损失和非货币性资产交换中换出非流动资产(金融工具、长期股权投资和投资性房地产除外)产生的利得或损失也包括在本项目内。该项目应根据“资产处置损益”科目的发生额分析填列;如为处置损失,以“-”号填列。","NCI00100206","资产处置收益(损失以“-”号填列)","“资产处置收益”项目,反映企业出售划分为持有待售的非流动资产(金融工具、长期股权投资和投资性房地产除外)或处置组(子公司和业务除外)时确认的处置利得或损失,以及处置未划分为持有待售的固定资产、在建工程、生产性生物资产及无形资产而产生的处置利得或损失。债务重组中因处置非流动资产(金融工具、长期股权投资和投资性房地产除外)产生的利得或损失和非货币性资产交换中换出非流动资产(金融工具、长期股权投资和投资性房地产除外)产生的利得或损失也包括在本项目内。该项目应根据“资产处置损益”科目的发生额分析填列;如为处置损失,以“-”号填列。",,"INPUT","admin","2024-12-09 17:55:33.0","admin","2024-12-13 17:38:02.0"
"413ded1f-2374-48f8-b23c-e5de75169176","NEW","COMPANY","COMPANY_CASH_FLOWS","28","2","1","NCC003STI","筹资活动现金流入小计","subtotal cash inflows from financing activities",,"NCC003STI","筹资活动现金流入小计",,,"INPUT","admin","2024-12-09 18:07:42.0","admin","2024-12-13 18:00:29.0"
"439098e1-498f-4a26-80b7-dfb3a0c471ff","OLD","COMPANY","COMPANY_LIABILITIES_AND_OWNERS_EQUITY","22","1","1","OCL002003","长期应付款","long term accounts payable","“长期应付款”项目,反映资产负债表日企业除长期借款和应付债券以外的其他各种长期应付款项的期末账面价值。该项目应根据“长期应付款”科目的期末余额,减去相关的“未确认融资费用”科目的期末余额后的金额,以及“专项应付款”科目的期末余额填列。","OCL002003","长期应付款","“长期应付款”项目,反映资产负债表日企业除长期借款和应付债券以外的其他各种长期应付款项的期末账面价值。该项目应根据“长期应付款”科目的期末余额,减去相关的“未确认融资费用”科目的期末余额后的金额,以及“专项应付款”科目的期末余额填列。",,"INPUT","admin","2024-12-09 17:04:09.0","admin","2024-12-13 18:36:06.0"
"439098e1-498f-4a26-80b7-dfb3a0c471ff","OLD","COMPANY","COMPANY_LIABILITIES_AND_OWNERS_EQUITY","22","1","1","OCL002003","长期应付款","long term accounts payable","“长期应付款”项目,反映资产负债表日企业除长期借款和应付债券以外的其他各种长期应付款项的期末账面价值。该项目应根据“长期应付款”科目的期末余额,减去相关的“未确认融资费用”科目的期末余额后的金额,以及“专项应付款”科目的期末余额填列。","OCL002003","长期应付款","“长期应付款”项目,反映资产负债表日企业除长期借款和应付债券以外的其他各种长期应付款项的期末账面价值。该项目应根据“长期应付款”科目的期末余额,减去相关的“未确认融资费用”科目的期末余额后的金额,以及“专项应付款”科目的期末余额填列。",,"INPUT","admin","2024-12-09 17:04:09.0","admin","2024-12-13 18:36:06.0"
"4416bb9d-98f7-4d4d-baca-174b437fc76e","NEW","COMPANY","COMPANY_PROFIT","39","2","1","NCI00500206","6.外币财务报表折算差额","differences in translation of financial statements in foreign currencies",,"NCI00500206","6.外币财务报表折算差额",,,"INPUT","admin","2024-12-13 15:35:20.0","admin","2024-12-13 17:40:11.0"
"45017728-8670-4ff4-9969-4667eaf7675e","NEW","COMPANY","COMPANY_CASH_FLOWS","34","0","1","NCC004","四、汇率变动对现金及现金等价物的影响","the impact of exchange rate changes on cash and cash equivalents",,"NCC004","四、汇率变动对现金及现金等价物的影响",,,"INPUT","admin","2024-12-09 18:09:08.0","admin","2024-12-13 17:41:11.0"
"4536806d-b387-4e4a-ab20-e893a5062a13","NEW","INSTITUTION","INSTITUTION_CASH_FLOWS","30","2","1","NIC003STI","筹资活动的现金流入小计","subtotal of cash inflows from financing activities","“筹资活动的现金流入小计”项目,反映单位本年筹资活动产生的现金流入的合计数。本项目应当根据本表中“财政资本性项目拨款收到的现金”、“取得借款收到的现金”、“收到的其他与筹资活动有关的现金”项目金额的合计数填列。","NIC003STI","筹资活动的现金流入小计","“筹资活动的现金流入小计”项目,反映单位本年筹资活动产生的现金流入的合计数。本项目应当根据本表中“财政资本性项目拨款收到的现金”、“取得借款收到的现金”、“收到的其他与筹资活动有关的现金”项目金额的合计数填列。",,"INPUT","admin","2024-12-12 17:33:48.0","admin","2024-12-13 18:20:12.0"
"46200d3e-bffa-49db-b0b9-68eee555cd11","NEW","INSTITUTION","INSTITUTION_LIABILITIES_AND_NET_ASSETS","17","0","0","NIL002","非流动负债:","non current liabilities",,"NIL002","非流动负债:",,,"INPUT","admin","2024-12-09 16:59:07.0","admin","2024-12-13 18:02:03.0"
"46442456-ffb9-4c31-89d3-d2e0b7498d43","OLD","COMPANY","COMPANY_ASSETS","13","2","1","OCA001T","流动资产合计","total current assets",,"SZ1800015","流动资产合计",,,"INPUT","admin","2024-12-09 16:58:29.0","admin","2025-07-31 17:18:58.0"
"46200d3e-bffa-49db-b0b9-68eee555cd74","NEW","COMPANY","COMPANY_LIABILITIES_AND_OWNERS_EQUITY","16","0","0","NCL002","非流动负债:","non current liabilities",,"NCL002","非流动负债:",,,"INPUT","admin","2024-12-09 16:59:07.0","admin","2024-12-13 17:30:14.0"
"47ee4c9a-6dc6-4a91-953c-3ecf22eab12d","OLD","COMPANY","COMPANY_CASH_FLOWS","26","1","1","OCC003002","取得借款收到的现金","obtain cash received from borrowing",,"SX1800025","取得借款收到的现金",,,"INPUT","admin","2024-12-09 18:07:28.0","admin","2025-07-31 17:30:07.0"
"46442456-ffb9-4c31-89d3-d2e0b7498d43","OLD","COMPANY","COMPANY_ASSETS","13","2","1","OCA001T","流动资产合计","total current assets",,"OCA001T","流动资产合计",,,"INPUT","admin","2024-12-09 16:58:29.0","admin","2024-12-13 18:29:31.0"
"47ee4c9a-6dc6-4a91-953c-3ecf22eab12d","OLD","COMPANY","COMPANY_CASH_FLOWS","26","1","1","OCC003002","取得借款收到的现金","obtain cash received from borrowing",,"OCC003002","取得借款收到的现金",,,"INPUT","admin","2024-12-09 18:07:28.0","admin","2024-12-13 18:47:01.0"
"4837bdf4-626b-4cec-9a6b-b6321b64e7ec","OLD","COMPANY","COMPANY_ASSETS","10","1","1","OCA001009","持有待售资产","assets for sale","“持有待售资产”项目,反映资产负债表日划分为持有待售类别的非流动资产及划分为持有待售类别的处置组中的流动资产和非流动资产的期末账面价值。该项目应根据“持有待售资产”科目的期末余额,减去“持有待售资产减值准备”科目的期末余额后的金额填列。","OCA001009","持有待售资产","“持有待售资产”项目,反映资产负债表日划分为持有待售类别的非流动资产及划分为持有待售类别的处置组中的流动资产和非流动资产的期末账面价值。该项目应根据“持有待售资产”科目的期末余额,减去“持有待售资产减值准备”科目的期末余额后的金额填列。",,"INPUT","admin","2024-12-09 16:27:11.0","admin","2024-12-13 18:29:04.0"
"4837bdf4-626b-4cec-9a6b-b6321b64e7ec","OLD","COMPANY","COMPANY_ASSETS","10","1","1","OCA001009","持有待售资产","assets for sale","“持有待售资产”项目,反映资产负债表日划分为持有待售类别的非流动资产及划分为持有待售类别的处置组中的流动资产和非流动资产的期末账面价值。该项目应根据“持有待售资产”科目的期末余额,减去“持有待售资产减值准备”科目的期末余额后的金额填列。","OCA001009","持有待售资产","“持有待售资产”项目,反映资产负债表日划分为持有待售类别的非流动资产及划分为持有待售类别的处置组中的流动资产和非流动资产的期末账面价值。该项目应根据“持有待售资产”科目的期末余额,减去“持有待售资产减值准备”科目的期末余额后的金额填列。",,"INPUT","admin","2024-12-09 16:27:11.0","admin","2024-12-13 18:29:04.0"
"48588c69-1f55-45ce-9635-d3c7836513ff","OLD","COMPANY","COMPANY_CASH_FLOWS","19","1","1","OCC002007","投资支付的现金","cash paid for investment",,"OCC002007","投资支付的现金",,,"INPUT","admin","2024-12-09 18:04:37.0","admin","2024-12-13 18:46:31.0"
"48588c69-1f55-45ce-9635-d3c7836513ff","OLD","COMPANY","COMPANY_CASH_FLOWS","19","1","1","OCC002007","投资支付的现金","cash paid for investment",,"SX1800019","投资支付的现金",,,"INPUT","admin","2024-12-09 18:04:37.0","admin","2025-07-31 17:29:04.0"
"48d642b1-d338-4349-ae18-2995ff817112","NEW","INSTITUTION","INSTITUTION_LIABILITIES_AND_NET_ASSETS","21","1","1","NIL002004","其他非流动负债","other non current liabilities","“其他非流动负债”项目,反映单位期末除本表中上述各项之外的其他非流动负债的合计数。本项目应当根据有关科目的期末余额合计数填列。","NIL002004","其他非流动负债","“其他非流动负债”项目,反映单位期末除本表中上述各项之外的其他非流动负债的合计数。本项目应当根据有关科目的期末余额合计数填列。",,"INPUT","admin","2024-12-09 17:05:40.0","admin","2024-12-13 18:07:05.0"
"48d642b1-d338-4349-ae18-2995ff8171b4","NEW","COMPANY","COMPANY_LIABILITIES_AND_OWNERS_EQUITY","26","1","1","NCL002008","其他非流动负债","other non current liabilities",,"NCL002008","其他非流动负债",,,"INPUT","admin","2024-12-09 17:05:40.0","admin","2024-12-13 17:31:37.0"
"4a52c82e-0bf2-4899-9457-c0dd5d632463","NEW","COMPANY","COMPANY_CASH_FLOWS","12","1","1","NCC002001","收回投资收到的现金","cash received from the investment is recovered",,"NCC002001","收回投资收到的现金",,,"INPUT","admin","2024-12-09 18:03:36.0","admin","2024-12-13 17:42:35.0"
"4ac02f31-a5ef-46f7-8f44-571d947a48ec","NEW","COMPANY","COMPANY_CASH_FLOWS","21","1","1","NCC002009","支付其他与投资活动有关的现金","payments of other cash related to investment activities",,"NCC002009","支付其他与投资活动有关的现金",,,"INPUT","admin","2024-12-09 18:06:04.0","admin","2024-12-13 17:43:18.0"
"4bba35b1-bd6e-4471-94f4-3e3d9d66ba47","OLD","COMPANY","COMPANY_PROFIT","30","2","1","OCI00500202","2.可供出售金融资产公允价值变动损益","gains or losses on changes in fair value of available for sale financial assets",,"OCI00500202","2.可供出售金融资产公允价值变动损益",,,"INPUT","admin","2024-12-13 14:59:51.0","admin","2024-12-13 18:41:57.0"
"4bba35b1-bd6e-4471-94f4-3e3d9d66ba47","OLD","COMPANY","COMPANY_PROFIT","30","2","1","OCI00500202","2.可供出售金融资产公允价值变动损益","gains or losses on changes in fair value of available for sale financial assets",,"OCI00500202","2.可供出售金融资产公允价值变动损益",,,"INPUT","admin","2024-12-13 14:59:51.0","admin","2024-12-13 18:41:57.0"
"4e5c76c6-f5d7-4d4b-abaf-2be3dda864f7","OLD","COMPANY","COMPANY_CASH_FLOWS","35","0","1","OCC005","五、现金及现金等价物净增加额","net increase in cash and cash equivalents",,"SX1800034","五、现金及现金等价物净增加额",,,"INPUT","admin","2024-12-09 18:09:13.0","admin","2025-07-31 17:31:43.0"
"4e5c76c6-f5d7-4d4b-abaf-2be3dda864f7","OLD","COMPANY","COMPANY_CASH_FLOWS","35","0","1","OCC005","五、现金及现金等价物净增加额","net increase in cash and cash equivalents",,"OCC005","五、现金及现金等价物净增加额",,,"INPUT","admin","2024-12-09 18:09:13.0","admin","2024-12-13 18:43:27.0"
"4ffcdf53-1997-4320-8a19-26e6574f0bf9","OLD","COMPANY","COMPANY_ASSETS","27","1","1","OCA002009","油气资产","oil and gas assets",,"OCA002009","油气资产",,,"INPUT","admin","2024-12-09 17:05:51.0","admin","2024-12-13 18:30:14.0"
"4ffcdf53-1997-4320-8a19-26e6574f0bf9","OLD","COMPANY","COMPANY_ASSETS","27","1","1","OCA002009","油气资产","oil and gas assets",,"OCA002009","油气资产",,,"INPUT","admin","2024-12-09 17:05:51.0","admin","2024-12-13 18:30:14.0"
"521d4e69-3e03-4def-9611-43cb945c2a8f","NEW","INSTITUTION","INSTITUTION_LIABILITIES_AND_NET_ASSETS","32","3","1","NILNT","负债和净资产总计","total liabilities and net assets","“负债和净资产总计”项目,应当按照本表中“负债合计”、“净资产合计”项目金额的合计数填列。","NILNT","负债和净资产总计","“负债和净资产总计”项目,应当按照本表中“负债合计”、“净资产合计”项目金额的合计数填列。",,"INPUT","admin","2024-12-12 16:55:30.0","admin","2024-12-13 18:02:57.0"
"52c54a3f-3bd0-4c4b-a649-ea462bc93ffa","NEW","COMPANY","COMPANY_CASH_FLOWS","8","1","1","NCC001007","支付其他与经营活动有关的现金","payment of other cash related to operating activities",,"NCC001007","支付其他与经营活动有关的现金",,,"INPUT","admin","2024-12-09 18:02:49.0","admin","2024-12-13 17:42:11.0"
"5b2754fc-8a13-458a-9f84-2bb7ab449eee","NEW","COMPANY","COMPANY_CASH_FLOWS","17","2","1","NCC002STI","投资活动现金流入小计","sub total cash flows from investing activities",,"NCC002STI","投资活动现金流入小计",,,"INPUT","admin","2024-12-09 18:04:25.0","admin","2024-12-13 17:59:34.0"
"5b6de487-8f56-4a5f-9f18-acbe450c3a5d","OLD","COMPANY","COMPANY_LIABILITIES_AND_OWNERS_EQUITY","14","1","1","OCL001012","其他流动负债","other current liabilities",,"OCL001012","其他流动负债",,,"INPUT","admin","2024-12-09 16:57:53.0","admin","2024-12-13 18:34:58.0"
"5b6de487-8f56-4a5f-9f18-acbe450c3a5d","OLD","COMPANY","COMPANY_LIABILITIES_AND_OWNERS_EQUITY","14","1","1","OCL001012","其他流动负债","other current liabilities",,"OCL001012","其他流动负债",,,"INPUT","admin","2024-12-09 16:57:53.0","admin","2024-12-13 18:34:58.0"
"5c3198bf-f735-4c1b-9017-6835a42e9e5c","NEW","INSTITUTION","INSTITUTION_CASH_FLOWS","3","1","1","NIC001002","财政非资本性项目拨款收到的现金","cash received from financial non capital project appropriations","“财政非资本性项目拨款收到的现金”项目,反映单位本年接受除用于购建固定资产、无形资产、公共基础设施等资本性项目以外的财政项目拨款取得的现金。本项目应当根据“银行存款”、“零余额账户用款额度”、“财政拨款收入”等科目及其所属明细科目的记录分析填列。","NIC001002","财政非资本性项目拨款收到的现金","“财政非资本性项目拨款收到的现金”项目,反映单位本年接受除用于购建固定资产、无形资产、公共基础设施等资本性项目以外的财政项目拨款取得的现金。本项目应当根据“银行存款”、“零余额账户用款额度”、“财政拨款收入”等科目及其所属明细科目的记录分析填列。",,"INPUT","admin","2024-12-12 17:24:52.0","admin","2024-12-13 18:11:24.0"
"5f52f7d6-6f9f-4584-8548-e894145a8b92","NEW","INSTITUTION","INSTITUTION_CASH_FLOWS","31","1","1","NIC003004","偿还借款支付的现金","repay the cash paid for the borrowing","“偿还借款支付的现金”项目,反映事业单位本年偿还借款本金所支付的现金。本项目应当根据“库存现金”、“银行存款”、“短期借款”、“长期借款”等科目的记录分析填列。","NIC003004","偿还借款支付的现金","“偿还借款支付的现金”项目,反映事业单位本年偿还借款本金所支付的现金。本项目应当根据“库存现金”、“银行存款”、“短期借款”、“长期借款”等科目的记录分析填列。",,"INPUT","admin","2024-12-12 17:34:09.0","admin","2024-12-13 18:19:41.0"
"603a589b-dcd0-4f7f-a8c2-0e9e70f1c048","OLD","COMPANY","COMPANY_LIABILITIES_AND_OWNERS_EQUITY","20","4","1","OCL00200202","永续债","perpetual note of bonds",,"OCL00200202","永续债",,,"INPUT","admin","2024-12-09 17:01:23.0","admin","2024-12-13 18:35:33.0"
"603a589b-dcd0-4f7f-a8c2-0e9e70f1c048","OLD","COMPANY","COMPANY_LIABILITIES_AND_OWNERS_EQUITY","20","4","1","OCL00200202","永续债","perpetual note of bonds",,"OCL00200202","永续债",,,"INPUT","admin","2024-12-09 17:01:23.0","admin","2024-12-13 18:35:33.0"
"614956a0-e076-447e-aa74-be3f3b7f4a67","OLD","COMPANY","COMPANY_ASSETS","11","1","1","OCA001010","一年内到期的非流动资产","non current assets in a yaear","“一年内到期的非流动资产”项目,通常反映预计自资产负债表日起一年内变现的非流动资产。对于按照相关会计准则采用折旧(或摊销、折耗)方法进行后续计量的固定资产、无形资产和长期待摊费用等非流动资产,折旧(或摊销、折耗)年限(或期限)只剩一年或不足一年的,或预计在一年内(含一年)进行折旧(或摊销、折耗)的部分,不得归类为流动资产,仍在各该非流动资产项目中填列,不转入“一年内到期的非流动资产”项目。","OCA001010","一年内到期的非流动资产","“一年内到期的非流动资产”项目,通常反映预计自资产负债表日起一年内变现的非流动资产。对于按照相关会计准则采用折旧(或摊销、折耗)方法进行后续计量的固定资产、无形资产和长期待摊费用等非流动资产,折旧(或摊销、折耗)年限(或期限)只剩一年或不足一年的,或预计在一年内(含一年)进行折旧(或摊销、折耗)的部分,不得归类为流动资产,仍在各该非流动资产项目中填列,不转入“一年内到期的非流动资产”项目。",,"INPUT","admin","2024-12-09 16:29:28.0","admin","2024-12-13 18:29:14.0"
"614956a0-e076-447e-aa74-be3f3b7f4a67","OLD","COMPANY","COMPANY_ASSETS","11","1","1","OCA001010","一年内到期的非流动资产","non current assets in a yaear","“一年内到期的非流动资产”项目,通常反映预计自资产负债表日起一年内变现的非流动资产。对于按照相关会计准则采用折旧(或摊销、折耗)方法进行后续计量的固定资产、无形资产和长期待摊费用等非流动资产,折旧(或摊销、折耗)年限(或期限)只剩一年或不足一年的,或预计在一年内(含一年)进行折旧(或摊销、折耗)的部分,不得归类为流动资产,仍在各该非流动资产项目中填列,不转入“一年内到期的非流动资产”项目。","SZ1800013","一年内到期的非流动资产","“一年内到期的非流动资产”项目,通常反映预计自资产负债表日起一年内变现的非流动资产。对于按照相关会计准则采用折旧(或摊销、折耗)方法进行后续计量的固定资产、无形资产和长期待摊费用等非流动资产,折旧(或摊销、折耗)年限(或期限)只剩一年或不足一年的,或预计在一年内(含一年)进行折旧(或摊销、折耗)的部分,不得归类为流动资产,仍在各该非流动资产项目中填列,不转入“一年内到期的非流动资产”项目。",,"INPUT","admin","2024-12-09 16:29:28.0","admin","2025-07-31 17:18:44.0"
"61fc13fb-97ea-4dad-a0d3-af0dba3d93c0","NEW","COMPANY","COMPANY_CASH_FLOWS","15","1","1","NCC002004","处置子公司及其他营业单位收到的现金净额","net cash received from disposal subsidiaries and other business units",,"NCC002004","处置子公司及其他营业单位收到的现金净额",,,"INPUT","admin","2024-12-09 18:04:11.0","admin","2024-12-13 17:42:47.0"
"62d46f31-3686-4fa4-8cbf-1aa2d48910b9","OLD","COMPANY","COMPANY_ASSETS","3","1","1","OCA001002","以公允价值计量且其变动计入当期损益的金融资产","financial assets at fair value through profit or loss",,"OCA001002","以公允价值计量且其变动计入当期损益的金融资产",,,"INPUT","admin","2024-12-09 16:11:29.0","admin","2024-12-13 18:28:37.0"
"62d46f31-3686-4fa4-8cbf-1aa2d48910b9","OLD","COMPANY","COMPANY_ASSETS","3","1","1","OCA001002","以公允价值计量且其变动计入当期损益的金融资产","financial assets at fair value through profit or loss",,"OCA001002","以公允价值计量且其变动计入当期损益的金融资产",,,"INPUT","admin","2024-12-09 16:11:29.0","admin","2024-12-13 18:28:37.0"
"6565b1a7-2eeb-45d3-a133-797299381497","OLD","COMPANY","COMPANY_CASH_FLOWS","3","1","1","OCC001003","收到其他与经营活动有关的现金","cash received relating to other operating activities",,"OCC001003","收到其他与经营活动有关的现金",,,"INPUT","admin","2024-12-09 18:00:48.0","admin","2024-12-13 18:43:48.0"
"6565b1a7-2eeb-45d3-a133-797299381497","OLD","COMPANY","COMPANY_CASH_FLOWS","3","1","1","OCC001003","收到其他与经营活动有关的现金","cash received relating to other operating activities",,"SX1800004","收到其他与经营活动有关的现金",,,"INPUT","admin","2024-12-09 18:00:48.0","admin","2025-07-31 17:26:32.0"
"65b1661d-e57e-4568-bde6-7b1599655728","OLD","COMPANY","COMPANY_PROFIT","5","2","1","OCI001L04","管理费用","less general and administrative expenses",,"OCI001L04","管理费用",,,"INPUT","admin","2024-12-09 17:51:57.0","admin","2024-12-13 18:39:28.0"
"65b1661d-e57e-4568-bde6-7b1599655728","OLD","COMPANY","COMPANY_PROFIT","5","2","1","OCI001L04","管理费用","less general and administrative expenses",,"SL1800007","管理费用",,,"INPUT","admin","2024-12-09 17:51:57.0","admin","2025-07-31 17:24:02.0"
"69edb00d-113d-4c25-83a6-13b821cea228","NEW","COMPANY","COMPANY_PROFIT","32","2","1","NCI00500104","4.企业自身信用风险公允价值变动","changes in the fair value of the enterprise own credit risk","“企业自身信用风险公允价值变动”项目,反映企业指定为以公允价值计量且其变动计入当期损益的金融负债,由企业自身信用风险变动引起的公允价值变动而计入其他综合收益的金额。该项目应根据“其他综合收益”科目的相关明细科目的发生额分析填列。","NCI00500104","4.企业自身信用风险公允价值变动","“企业自身信用风险公允价值变动”项目,反映企业指定为以公允价值计量且其变动计入当期损益的金融负债,由企业自身信用风险变动引起的公允价值变动而计入其他综合收益的金额。该项目应根据“其他综合收益”科目的相关明细科目的发生额分析填列。",,"INPUT","admin","2024-12-13 15:33:20.0","admin","2024-12-13 17:39:32.0"
"6a6b9ab4-b85b-11ef-8a87-0242ac120002","NEW","INSTITUTION","INSTITUTION_ASSETS","20","2","1","NIA00200301","减:固定资产累计折旧","less accumulated depreciation of fixed assets",,"NIA00200301","减:固定资产累计折旧",,,"INPUT","admin","2024-12-09 17:00:02.0","admin","2024-12-13 17:47:28.0"
"6a6b9bc6-b85b-11ef-8a87-0242ac120002","NEW","INSTITUTION","INSTITUTION_ASSETS","17","1","1","NIA002001","长期股权投资","long term equity investment","“长期股权投资”项目,反映事业单位期末持有的长期股权投资的账面余额。本项目应当根据“长期股权投资”科目的期末余额填列。","NIA002001","长期股权投资","“长期股权投资”项目,反映事业单位期末持有的长期股权投资的账面余额。本项目应当根据“长期股权投资”科目的期末余额填列。",,"INPUT","admin","2024-12-09 17:01:09.0","admin","2024-12-13 17:47:15.0"
"6a6b9d0a-b85b-11ef-8a87-0242ac120002","NEW","INSTITUTION","INSTITUTION_ASSETS","29","2","1","NIA00200801","减:公共基础设施累计折旧(摊销)","less accumulated depreciation of public infrastructure","“公共基础设施累计折旧(摊销)”项目,反映单位期末控制的公共基础设施已计提的累计折旧和累计摊销金额。本项目应当根据“公共基础设施累计折旧(摊销)”科目的期末余额填列。","NIA00200801","减:公共基础设施累计折旧(摊销)","“公共基础设施累计折旧(摊销)”项目,反映单位期末控制的公共基础设施已计提的累计折旧和累计摊销金额。本项目应当根据“公共基础设施累计折旧(摊销)”科目的期末余额填列。",,"INPUT","admin","2024-12-09 17:06:39.0","admin","2024-12-13 17:48:10.0"
"6a6ba92c-b85b-11ef-8a87-0242ac120002","NEW","INSTITUTION","INSTITUTION_ASSETS","38","1","1","NIA002014","其他非流动资产","other non current assets","“其他非流动资产”项目,反映单位期末除本表中上述各项之外的其他非流动资产的合计数。本项目应当根据有关科目的期末余额合计数填列。","NIA002014","其他非流动资产","“其他非流动资产”项目,反映单位期末除本表中上述各项之外的其他非流动资产的合计数。本项目应当根据有关科目的期末余额合计数填列。",,"INPUT","admin","2024-12-12 15:21:51.0","admin","2024-12-13 17:48:54.0"
"6a6ba9be-b85b-11ef-8a87-0242ac120002","NEW","INSTITUTION","INSTITUTION_ASSETS","15","2","1","NIA001T","流动资产合计","total current assets","“流动资产合计”项目,反映单位期末流动资产的合计数。本项目应当根据本表中“货币资金”、“短期投资”、“财政应返还额度”、“应收票据”、“应收账款净额”、“预付账款”、“应收股利”、“应收利息”、“其他应收款净额”、“存货”、“待摊费用”、“一年内到期的非流动资产”、“其他流动资产”项目金额的合计数填列。","NIA001T","流动资产合计","“流动资产合计”项目,反映单位期末流动资产的合计数。本项目应当根据本表中“货币资金”、“短期投资”、“财政应返还额度”、“应收票据”、“应收账款净额”、“预付账款”、“应收股利”、“应收利息”、“其他应收款净额”、“存货”、“待摊费用”、“一年内到期的非流动资产”、“其他流动资产”项目金额的合计数填列。",,"INPUT","admin","2024-12-09 16:58:29.0","admin","2024-12-13 17:51:34.0"
"6a6bac27-b85b-11ef-8a87-0242ac120002","NEW","INSTITUTION","INSTITUTION_ASSETS","13","1","1","NIA001012","一年内到期的非流动资产","non current assets in a yaear","“一年内到期的非流动资产”项目,反映单位期末非流动资产项目中将在 1 年内(含 1 年)到期的金额,如事业单位将在 1 年内(含 1 年)到期的长期债券投资金额。本项目应当根据“长期债券投资”等科目的明细科目的期末余额分析填列。","NIA001012","一年内到期的非流动资产","“一年内到期的非流动资产”项目,反映单位期末非流动资产项目中将在 1 年内(含 1 年)到期的金额,如事业单位将在 1 年内(含 1 年)到期的长期债券投资金额。本项目应当根据“长期债券投资”等科目的明细科目的期末余额分析填列。",,"INPUT","admin","2024-12-09 16:29:28.0","admin","2024-12-13 17:46:21.0"
"6a6baeb9-b85b-11ef-8a87-0242ac120002","NEW","INSTITUTION","INSTITUTION_ASSETS","30","2","1","NIA00200802","公共基础设施净值","public infrastructure net value","“公共基础设施净值”项目,反映单位期末控制的公共基础设施的账面价值。本项目应当根据“公共基础设施”科目期末余额减去“公共基础设施累计折旧(摊销)”科目期末余额后的金额填列。","NIA00200802","公共基础设施净值","“公共基础设施净值”项目,反映单位期末控制的公共基础设施的账面价值。本项目应当根据“公共基础设施”科目期末余额减去“公共基础设施累计折旧(摊销)”科目期末余额后的金额填列。",,"INPUT","admin","2024-12-09 17:10:02.0","admin","2024-12-13 17:48:14.0"
"6a6bb003-b85b-11ef-8a87-0242ac120002","NEW","INSTITUTION","INSTITUTION_ASSETS","14","1","1","NIA001013","其他流动资产","other current assets","“其他流动资产”项目,反映单位期末除本表中上述各项之外的其他流动资产的合计金额。本项目应当根据有关科目期末余额的合计数填列。","NIA001013","其他流动资产","“其他流动资产”项目,反映单位期末除本表中上述各项之外的其他流动资产的合计金额。本项目应当根据有关科目期末余额的合计数填列。",,"INPUT","admin","2024-12-09 16:30:32.0","admin","2024-12-13 17:46:25.0"
"6a6bfbc9-b85b-11ef-8a87-0242ac120002","NEW","INSTITUTION","INSTITUTION_ASSETS","16","0","0","NIA002","非流动资产:","non current assets",,"NIA002","非流动资产:",,,"INPUT","admin","2024-12-09 16:58:51.0","admin","2024-12-13 17:46:44.0"
"6a6bfdc6-b85b-11ef-8a87-0242ac120002","NEW","INSTITUTION","INSTITUTION_ASSETS","39","2","1","NIA002T","非流动资产合计","total non current assets","“非流动资产合计”项目,反映单位期末非流动资产的合计数。本项目应当根据本表中“长期股权投资”、“长期债券投资”、“固定资产净值”、“工程物资”、“在建工程”、“无形资产净值”、“研发支出”、“公共基础设施净值”、“政府储备物资”、“文物文化资产”、“保障性住房净值”、“长期待摊费用”、“待处理财产损溢”、“其他非流动资产”项目金额的合计数填列。","NIA002T","非流动资产合计","“非流动资产合计”项目,反映单位期末非流动资产的合计数。本项目应当根据本表中“长期股权投资”、“长期债券投资”、“固定资产净值”、“工程物资”、“在建工程”、“无形资产净值”、“研发支出”、“公共基础设施净值”、“政府储备物资”、“文物文化资产”、“保障性住房净值”、“长期待摊费用”、“待处理财产损溢”、“其他非流动资产”项目金额的合计数填列。",,"INPUT","admin","2024-12-09 17:11:45.0","admin","2024-12-13 17:51:53.0"
"6a6bfe55-b85b-11ef-8a87-0242ac120002","NEW","INSTITUTION","INSTITUTION_ASSETS","26","2","1","NIA00200602","无形资产净值","intangible assets net value","“无形资产净值”项目,反映单位期末无形资产的账面价值。本项目应当根据“无形资产”科目期末余额减去“无形资产累计摊销”科目期末余额后的金额填列。","NIA00200602","无形资产净值","“无形资产净值”项目,反映单位期末无形资产的账面价值。本项目应当根据“无形资产”科目期末余额减去“无形资产累计摊销”科目期末余额后的金额填列。",,"INPUT","admin","2024-12-09 17:09:05.0","admin","2024-12-13 17:47:55.0"
"6a6bfeef-b85b-11ef-8a87-0242ac120002","NEW","INSTITUTION","INSTITUTION_ASSETS","27","1","1","NIA002007","研发支出","research and development expenses","“研发支出”项目,反映单位期末正在进行的无形资产开发项目开发阶段发生的累计支出数。本项目应当根据“研发支出”科目的期末余额填列。","NIA002007","研发支出","“研发支出”项目,反映单位期末正在进行的无形资产开发项目开发阶段发生的累计支出数。本项目应当根据“研发支出”科目的期末余额填列。",,"INPUT","admin","2024-12-09 17:03:55.0","admin","2024-12-13 17:47:59.0"
"6a6bff75-b85b-11ef-8a87-0242ac120002","NEW","INSTITUTION","INSTITUTION_ASSETS","32","1","1","NIA002010","文物文化资产","cultural relics and cultural assets","“文物文化资产”项目,反映单位期末控制的文物文化资产的成本。本项目应当根据“文物文化资产”科目的期末余额填列。","NIA002010","文物文化资产","“文物文化资产”项目,反映单位期末控制的文物文化资产的成本。本项目应当根据“文物文化资产”科目的期末余额填列。",,"INPUT","admin","2024-12-12 15:15:55.0","admin","2024-12-13 17:48:27.0"
"6a6c06c7-b85b-11ef-8a87-0242ac120002","NEW","INSTITUTION","INSTITUTION_ASSETS","23","1","1","NIA002005","在建工程","construction in progress","“在建工程”项目,反映单位期末所有的建设项目工程的实际成本。本项目应当根据“在建工程”科目的期末余额填列。","NIA002005","在建工程","“在建工程”项目,反映单位期末所有的建设项目工程的实际成本。本项目应当根据“在建工程”科目的期末余额填列。",,"INPUT","admin","2024-12-09 17:05:01.0","admin","2024-12-13 17:47:41.0"
"6a6c073e-b85b-11ef-8a87-0242ac120002","NEW","INSTITUTION","INSTITUTION_ASSETS","35","2","1","NIA00201102","保障性住房净值","affordable housing net value","“保障性住房净值”项目,反映单位期末控制的保障性住房的账面价值。本项目应当根据“保障性住房”科目期末余额减去“保障性住房累计折旧”科目期末余额后的金额填列。","NIA00201102","保障性住房净值","“保障性住房净值”项目,反映单位期末控制的保障性住房的账面价值。本项目应当根据“保障性住房”科目期末余额减去“保障性住房累计折旧”科目期末余额后的金额填列。",,"INPUT","admin","2024-12-12 15:19:23.0","admin","2024-12-13 17:48:42.0"
"6a6c0894-b85b-11ef-8a87-0242ac120002","NEW","INSTITUTION","INSTITUTION_ASSETS","3","1","1","NIA001002","短期投资","short term investments","“短期投资”项目,反映事业单位期末持有的短期投资账面余额。本项目应当根据“短期投资”科目的期末余额填列。","NIA001002","短期投资","“短期投资”项目,反映事业单位期末持有的短期投资账面余额。本项目应当根据“短期投资”科目的期末余额填列。",,"INPUT","admin","2024-12-09 16:11:29.0","admin","2024-12-13 17:45:41.0"
"6abc089f-7fe5-4c49-b28a-ce2341c95ff9","OLD","COMPANY","COMPANY_PROFIT","11","2","1","OCI001A02","投资收益(损失以“-”号填列)","add income on investment",,"OCI001A02","投资收益(损失以“-”号填列)",,,"INPUT","admin","2024-12-09 17:53:29.0","admin","2024-12-13 18:40:09.0"
"6abc089f-7fe5-4c49-b28a-ce2341c95ff9","OLD","COMPANY","COMPANY_PROFIT","11","2","1","OCI001A02","投资收益(损失以“-”号填列)","add income on investment",,"OCI001A02","投资收益(损失以“-”号填列)",,,"INPUT","admin","2024-12-09 17:53:29.0","admin","2024-12-13 18:40:09.0"
"700c5013-4465-4cf5-88dc-50d1815add31","OLD","COMPANY","COMPANY_ASSETS","12","1","1","OCA001011","其他流动资产","other current assets",,"OCA001011","其他流动资产",,,"INPUT","admin","2024-12-09 16:30:32.0","admin","2024-12-13 18:29:20.0"
"700c5013-4465-4cf5-88dc-50d1815add31","OLD","COMPANY","COMPANY_ASSETS","12","1","1","OCA001011","其他流动资产","other current assets",,"SZ1800014","其他流动资产",,,"INPUT","admin","2024-12-09 16:30:32.0","admin","2025-07-31 17:18:52.0"
"70790f97-0304-4972-8e02-1136ffe9bad8","NEW","COMPANY","COMPANY_CASH_FLOWS","10","3","1","NCC001T","经营活动产生的现金流量净额","net cash flow from operating activities",,"NCC001T","经营活动产生的现金流量净额",,,"INPUT","admin","2024-12-09 18:03:08.0","admin","2024-12-13 17:58:20.0"
"72cac667-82ff-4ac8-8534-f40a4c857e82","OLD","COMPANY","COMPANY_PROFIT","32","2","1","OCI00500204","4.现金流量套期损益的有效部分","the effective portion of the cash flow hedge profit or loss",,"OCI00500204","4.现金流量套期损益的有效部分",,,"INPUT","admin","2024-12-13 15:00:34.0","admin","2024-12-13 18:42:03.0"
"72cac667-82ff-4ac8-8534-f40a4c857e82","OLD","COMPANY","COMPANY_PROFIT","32","2","1","OCI00500204","4.现金流量套期损益的有效部分","the effective portion of the cash flow hedge profit or loss",,"OCI00500204","4.现金流量套期损益的有效部分",,,"INPUT","admin","2024-12-13 15:00:34.0","admin","2024-12-13 18:42:03.0"
"741355be-5552-4bef-b019-20d8182dc7ba","NEW","COMPANY","COMPANY_ASSETS","20","1","1","NCA002004","长期股权投资","long term equity investment",,"NCA002004","长期股权投资",,,"INPUT","admin","2024-12-09 17:01:09.0","admin","2024-12-13 17:25:59.0"
"74f38a4c-0385-4526-a1c6-20aa7493d457","OLD","COMPANY","COMPANY_ASSETS","19","1","1","OCA002003","长期应收款","long term receivables",,"OCA002003","长期应收款",,,"INPUT","admin","2024-12-09 17:00:25.0","admin","2024-12-13 18:29:53.0"
"74f38a4c-0385-4526-a1c6-20aa7493d457","OLD","COMPANY","COMPANY_ASSETS","19","1","1","OCA002003","长期应收款","long term receivables",,"OCA002003","长期应收款",,,"INPUT","admin","2024-12-09 17:00:25.0","admin","2024-12-13 18:29:53.0"
"759d31b5-90c8-408a-bb46-480ed6d9e558","NEW","COMPANY","COMPANY_ASSETS","28","1","1","NCA002012","使用权资产","right of use assets","“使用权资产”项目,反映资产负债表日承租人企业持有的使用权资产的期末账面价值。该项目应根据“使用权资产”科目的期末余额,减去“使用权资产累计折旧”和“使用权资产减值准备”科目的期末余额后的金额填列。","NCA002012","使用权资产","“使用权资产”项目,反映资产负债表日承租人企业持有的使用权资产的期末账面价值。该项目应根据“使用权资产”科目的期末余额,减去“使用权资产累计折旧”和“使用权资产减值准备”科目的期末余额后的金额填列。",,"INPUT","admin","2024-12-09 17:06:39.0","admin","2024-12-13 17:26:36.0"
"79d4ce14-53df-49e4-b9da-b6fa11c42f05","OLD","COMPANY","COMPANY_CASH_FLOWS","20","1","1","OCC002008","取得子公司及其他营业单位支付的现金净额","net cash payments from subsidiaries and other business units",,"OCC002008","取得子公司及其他营业单位支付的现金净额",,,"INPUT","admin","2024-12-09 18:04:44.0","admin","2024-12-13 18:46:34.0"
"79d4ce14-53df-49e4-b9da-b6fa11c42f05","OLD","COMPANY","COMPANY_CASH_FLOWS","20","1","1","OCC002008","取得子公司及其他营业单位支付的现金净额","net cash payments from subsidiaries and other business units",,"OCC002008","取得子公司及其他营业单位支付的现金净额",,,"INPUT","admin","2024-12-09 18:04:44.0","admin","2024-12-13 18:46:34.0"
"7afa88d6-2885-4fe0-a986-9e8e0348bac9","OLD","COMPANY","COMPANY_CASH_FLOWS","18","1","1","OCC002006","购建固定资产、无形资产和其他长期资产支付的现金","cash paid for the purchase and construction of fixed assets intangible assets and other long term assets",,"OCC002006","购建固定资产、无形资产和其他长期资产支付的现金",,,"INPUT","admin","2024-12-09 18:04:31.0","admin","2024-12-13 18:46:26.0"
"7afa88d6-2885-4fe0-a986-9e8e0348bac9","OLD","COMPANY","COMPANY_CASH_FLOWS","18","1","1","OCC002006","购建固定资产、无形资产和其他长期资产支付的现金","cash paid for the purchase and construction of fixed assets intangible assets and other long term assets",,"SX1800018","购建固定资产、无形资产和其他长期资产支付的现金",,,"INPUT","admin","2024-12-09 18:04:31.0","admin","2025-07-31 17:28:55.0"
"7bc59c23-7602-4606-8125-77c175e6ed4d","NEW","COMPANY","COMPANY_CASH_FLOWS","26","1","1","NCC003002","取得借款收到的现金","obtain cash received from borrowing",,"NCC003002","取得借款收到的现金",,,"INPUT","admin","2024-12-09 18:07:28.0","admin","2024-12-13 17:43:42.0"
"7c0d308e-400c-4d22-ac11-da5691808d4a","NEW","INSTITUTION","INSTITUTION_INCOME_AND_EXPENSES","19","1","1","NIE001005","(五)上缴上级费用","pay the fees to the superiors","“上缴上级费用”项目,反映事业单位按照规定上缴上级单位款项发生的费用。本项目应当根据“上缴上级费用”科目的本期发生额填列。","NIE001005","(五)上缴上级费用","“上缴上级费用”项目,反映事业单位按照规定上缴上级单位款项发生的费用。本项目应当根据“上缴上级费用”科目的本期发生额填列。",,"INPUT","admin","2024-12-12 17:16:12.0","admin","2024-12-13 18:09:53.0"
"7d8c23e3-25da-4823-a5e2-b505ab21d3e5","NEW","COMPANY","COMPANY_ASSETS","15","2","1","NCA001T","流动资产合计","total current assets",,"NCA001T","流动资产合计",,,"INPUT","admin","2024-12-09 16:58:29.0","admin","2024-12-13 17:52:45.0"
"7df5a26c-969e-44dd-b4e9-ae3dfa0c3a2f","OLD","COMPANY","COMPANY_CASH_FLOWS","2","1","1","OCC001002","收到的税费返还","refunds of taxes",,"SX1800003","收到的税费返还",,,"INPUT","admin","2024-12-09 18:00:39.0","admin","2025-07-31 17:26:24.0"
"7df5a26c-969e-44dd-b4e9-ae3dfa0c3a2f","OLD","COMPANY","COMPANY_CASH_FLOWS","2","1","1","OCC001002","收到的税费返还","refunds of taxes",,"OCC001002","收到的税费返还",,,"INPUT","admin","2024-12-09 18:00:39.0","admin","2024-12-13 18:43:44.0"
"7eb3c28d-78cc-431d-89a4-c2b0cc853aab","OLD","COMPANY","COMPANY_PROFIT","29","2","1","OCI00500201","1.权益法下可转损益的其他综合收益","other comprehensive income from transferable gains or losses under the equity method",,"OCI00500201","1.权益法下可转损益的其他综合收益",,,"INPUT","admin","2024-12-13 14:59:18.0","admin","2024-12-13 18:41:53.0"
"7eb3c28d-78cc-431d-89a4-c2b0cc853aab","OLD","COMPANY","COMPANY_PROFIT","29","2","1","OCI00500201","1.权益法下可转损益的其他综合收益","other comprehensive income from transferable gains or losses under the equity method",,"OCI00500201","1.权益法下可转损益的其他综合收益",,,"INPUT","admin","2024-12-13 14:59:18.0","admin","2024-12-13 18:41:53.0"
"7faa0bdd-c2ed-4b9f-8816-3a75fbe5cdeb","OLD","COMPANY","COMPANY_PROFIT","28","1","1","OCI005002","(二)将重分类进损益的其他综合收益","other comprehensive income that can be reclassified",,"OCI005002","(二)将重分类进损益的其他综合收益",,,"INPUT","admin","2024-12-09 17:58:56.0","admin","2024-12-13 18:41:28.0"
"7faa0bdd-c2ed-4b9f-8816-3a75fbe5cdeb","OLD","COMPANY","COMPANY_PROFIT","28","1","1","OCI005002","(二)将重分类进损益的其他综合收益","other comprehensive income that can be reclassified",,"OCI005002","(二)将重分类进损益的其他综合收益",,,"INPUT","admin","2024-12-09 17:58:56.0","admin","2024-12-13 18:41:28.0"
"82b122bf-d1c0-4606-8ce2-9f59729ef708","OLD","COMPANY","COMPANY_CASH_FLOWS","22","2","1","OCC002STO","投资活动现金流出小计","subtotal cash outflows from investing activities",,"OCC002STO","投资活动现金流出小计",,,"INPUT","admin","2024-12-09 18:06:14.0","admin","2024-12-13 18:46:43.0"
"82b122bf-d1c0-4606-8ce2-9f59729ef708","OLD","COMPANY","COMPANY_CASH_FLOWS","22","2","1","OCC002STO","投资活动现金流出小计","subtotal cash outflows from investing activities",,"SX1800021","投资活动现金流出小计",,,"INPUT","admin","2024-12-09 18:06:14.0","admin","2025-07-31 17:29:33.0"
"8333cfed-5165-48a0-9708-a41adacc23d7","OLD","COMPANY","COMPANY_ASSETS","34","1","1","OCA002015","其他非流动资产","other non current assets",,"OCA002015","其他非流动资产",,,"INPUT","admin","2024-12-09 17:11:05.0","admin","2024-12-13 18:30:42.0"
"8333cfed-5165-48a0-9708-a41adacc23d7","OLD","COMPANY","COMPANY_ASSETS","34","1","1","OCA002015","其他非流动资产","other non current assets",,"OCA002015","其他非流动资产",,,"INPUT","admin","2024-12-09 17:11:05.0","admin","2024-12-13 18:30:42.0"
"84083dc7-51ea-46f6-9921-b750b1302275","OLD","COMPANY","COMPANY_CASH_FLOWS","1","1","1","OCC001001","销售商品、提供劳务收到的现金","cash received from sales of goods or rendering of services",,"OCC001001","销售商品、提供劳务收到的现金",,,"INPUT","admin","2024-12-09 18:00:30.0","admin","2024-12-13 18:43:41.0"
"84083dc7-51ea-46f6-9921-b750b1302275","OLD","COMPANY","COMPANY_CASH_FLOWS","1","1","1","OCC001001","销售商品、提供劳务收到的现金","cash received from sales of goods or rendering of services",,"SX1800002","销售商品、提供劳务收到的现金",,,"INPUT","admin","2024-12-09 18:00:30.0","admin","2025-07-31 17:26:15.0"
"85ef4153-45c2-4c94-b7ce-c436f47eba3c","NEW","INSTITUTION","INSTITUTION_CASH_FLOWS","32","1","1","NIC003005","偿还利息支付的现金","cash repayment of interest payments","“偿付利息支付的现金”项目,反映事业单位本年支付的借款利息等。本项目应当根据“库存现金”、“银行存款”、“应付利息”、“长期借款”等科目的记录分析填列。","NIC003005","偿还利息支付的现金","“偿付利息支付的现金”项目,反映事业单位本年支付的借款利息等。本项目应当根据“库存现金”、“银行存款”、“应付利息”、“长期借款”等科目的记录分析填列。",,"INPUT","admin","2024-12-12 17:34:22.0","admin","2024-12-13 18:19:45.0"
"88f584e7-2a92-41e3-be12-2125bd2d411b","NEW","COMPANY","COMPANY_ASSETS","12","1","1","NCA001011","持有待售资产","assets for sale","“持有待售资产”项目,反映资产负债表日划分为持有待售类别的非流动资产及划分为持有待售类别的处置组中的流动资产和非流动资产的期末账面价值。该项目应根据“持有待售资产”科目的期末余额,减去“持有待售资产减值准备”科目的期末余额后的金额填列。","NCA001011","持有待售资产","“持有待售资产”项目,反映资产负债表日划分为持有待售类别的非流动资产及划分为持有待售类别的处置组中的流动资产和非流动资产的期末账面价值。该项目应根据“持有待售资产”科目的期末余额,减去“持有待售资产减值准备”科目的期末余额后的金额填列。",,"INPUT","admin","2024-12-09 16:27:11.0","admin","2024-12-13 17:23:26.0"
"896cf9d7-d393-4823-bbbe-2e2e654bec1d","OLD","COMPANY","COMPANY_PROFIT","10","1","1","OCI001A01","加:其他收益","add other income","“其他收益”项目,反映计入其他收益的政府补助,以及其他与日常活动相关且计入其他收益的项目。该项目应根据“其他收益”科目的发生额分析填列。企业作为个人所得税的扣缴义务人,根据《中华人民共和国个人所得税法》收到的扣缴税款手续费,应作为其他与日常活动相关的收益在该项目中填列。","OCI001A01","加:其他收益","“其他收益”项目,反映计入其他收益的政府补助,以及其他与日常活动相关且计入其他收益的项目。该项目应根据“其他收益”科目的发生额分析填列。企业作为个人所得税的扣缴义务人,根据《中华人民共和国个人所得税法》收到的扣缴税款手续费,应作为其他与日常活动相关的收益在该项目中填列。",,"INPUT","admin","2024-12-09 17:53:15.0","admin","2024-12-13 18:39:59.0"
"896cf9d7-d393-4823-bbbe-2e2e654bec1d","OLD","COMPANY","COMPANY_PROFIT","10","1","1","OCI001A01","加:其他收益","add other income","“其他收益”项目,反映计入其他收益的政府补助,以及其他与日常活动相关且计入其他收益的项目。该项目应根据“其他收益”科目的发生额分析填列。企业作为个人所得税的扣缴义务人,根据《中华人民共和国个人所得税法》收到的扣缴税款手续费,应作为其他与日常活动相关的收益在该项目中填列。","OCI001A01","加:其他收益","“其他收益”项目,反映计入其他收益的政府补助,以及其他与日常活动相关且计入其他收益的项目。该项目应根据“其他收益”科目的发生额分析填列。企业作为个人所得税的扣缴义务人,根据《中华人民共和国个人所得税法》收到的扣缴税款手续费,应作为其他与日常活动相关的收益在该项目中填列。",,"INPUT","admin","2024-12-09 17:53:15.0","admin","2024-12-13 18:39:59.0"
"8a1ada1c-6324-4d7e-8883-292f339ebde5","NEW","COMPANY","COMPANY_ASSETS","13","1","1","NCA001012","一年内到期的非流动资产","non current assets in a yaear","“一年内到期的非流动资产”项目,通常反映预计自资产负债表日起一年内变现的非流动资产。对于按照相关会计准则采用折旧(或摊销、折耗)方法进行后续计量的固定资产、使用权资产、无形资产和长期待摊费用等非流动资产,折旧(或摊销、折耗)年限(或期限)只剩一年或不足一年的,或预计在一年内(含一年)进行折旧(或摊销、折耗)的部分,不得归类为流动资产,仍在各该非流动资产项目中填列,不转入“一年内到期的非流动资产”项目。","NCA001012","一年内到期的非流动资产","“一年内到期的非流动资产”项目,通常反映预计自资产负债表日起一年内变现的非流动资产。对于按照相关会计准则采用折旧(或摊销、折耗)方法进行后续计量的固定资产、使用权资产、无形资产和长期待摊费用等非流动资产,折旧(或摊销、折耗)年限(或期限)只剩一年或不足一年的,或预计在一年内(含一年)进行折旧(或摊销、折耗)的部分,不得归类为流动资产,仍在各该非流动资产项目中填列,不转入“一年内到期的非流动资产”项目。",,"INPUT","admin","2024-12-09 16:29:28.0","admin","2024-12-13 17:23:30.0"
"8d26d9f4-28b2-47c9-a275-e70a21be820d","NEW","COMPANY","COMPANY_ASSETS","14","1","1","NCA001013","其他流动资产","other current assets",,"NCA001013","其他流动资产",,,"INPUT","admin","2024-12-09 16:30:32.0","admin","2024-12-13 17:23:34.0"
"8f98b132-5557-4465-8c72-fdf4285b3eca","NEW","COMPANY","COMPANY_CASH_FLOWS","6","1","1","NCC001005","支付给职工以及为职工支付的现金","cash paid to and on behalf of employees",,"NCC001005","支付给职工以及为职工支付的现金",,,"INPUT","admin","2024-12-09 18:02:27.0","admin","2024-12-13 17:42:01.0"
"91afc6d1-0997-46cc-b733-a997da91dc10","NEW","COMPANY","COMPANY_ASSETS","19","1","1","NCA002003","长期应收款","long term receivables",,"NCA002003","长期应收款",,,"INPUT","admin","2024-12-09 17:00:25.0","admin","2024-12-13 17:25:54.0"
"929adc4f-8066-407f-8e3f-3f6eeec5fdb1","OLD","COMPANY","COMPANY_CASH_FLOWS","31","1","1","OCC003006","支付其他与筹资活动有关的现金","disbursement of other cash related to fund raising activities",,"OCC003006","支付其他与筹资活动有关的现金",,,"INPUT","admin","2024-12-09 18:08:50.0","admin","2024-12-13 18:47:22.0"
"929adc4f-8066-407f-8e3f-3f6eeec5fdb1","OLD","COMPANY","COMPANY_CASH_FLOWS","31","1","1","OCC003006","支付其他与筹资活动有关的现金","disbursement of other cash related to fund raising activities",,"SX1800030","支付其他与筹资活动有关的现金",,,"INPUT","admin","2024-12-09 18:08:50.0","admin","2025-07-31 17:30:52.0"
"94a02581-964c-4529-aace-79a4c449a7a9","OLD","COMPANY","COMPANY_LIABILITIES_AND_OWNERS_EQUITY","16","0","0","OCL002","非流动负债:","non current liabilities",,"OCL002","非流动负债:",,,"INPUT","admin","2024-12-09 16:59:07.0","admin","2024-12-13 18:31:28.0"
"94a02581-964c-4529-aace-79a4c449a7a9","OLD","COMPANY","COMPANY_LIABILITIES_AND_OWNERS_EQUITY","16","0","0","OCL002","非流动负债:","non current liabilities",,"OCL002","非流动负债:",,,"INPUT","admin","2024-12-09 16:59:07.0","admin","2024-12-13 18:31:28.0"
"94ea9826-0d48-4bc4-b7a4-0dcc4a190fdb","NEW","INSTITUTION","INSTITUTION_CASH_FLOWS","15","1","1","NIC002001","收回投资收到的现金","cash received from the investment is recovered","“收回投资收到的现金”项目,反映单位本年出售、转让或者收回投资收到的现金。本项目应该根据“库存现金”、“银行存款”、“短期投资”、“长期股权投资”、“长期债券投资”等科目的记录分析填列。","NIC002001","收回投资收到的现金","“收回投资收到的现金”项目,反映单位本年出售、转让或者收回投资收到的现金。本项目应该根据“库存现金”、“银行存款”、“短期投资”、“长期股权投资”、“长期债券投资”等科目的记录分析填列。",,"INPUT","admin","2024-12-12 17:30:52.0","admin","2024-12-13 18:13:51.0"
"95f06b67-e3d9-435a-bece-3181b21c124f","NEW","INSTITUTION","INSTITUTION_CASH_FLOWS","17","1","1","NIC002003","处置固定资产、无形资产、公共基础设施等收回的现金净额","net cash recovered from disposal of fixed assets intangible assets public infrastructure etc","“处置固定资产、无形资产、公共基础设施等收回的现金净额”项目,反映单位本年处置固定资产、无形资产、公共基础设施等非流动资产所取得的现金,减去为处置这些资产而支付的有关费用之后的净额。由于自然灾害所造成的固定资产等长期资产损失而收到的保险赔款收入,也在本项目反映。本项目应当根据“库存现金”、“银行存款”、“待处理财产损溢”等科目的记录分析填列。","NIC002003","处置固定资产、无形资产、公共基础设施等收回的现金净额","“处置固定资产、无形资产、公共基础设施等收回的现金净额”项目,反映单位本年处置固定资产、无形资产、公共基础设施等非流动资产所取得的现金,减去为处置这些资产而支付的有关费用之后的净额。由于自然灾害所造成的固定资产等长期资产损失而收到的保险赔款收入,也在本项目反映。本项目应当根据“库存现金”、“银行存款”、“待处理财产损溢”等科目的记录分析填列。",,"INPUT","admin","2024-12-12 17:31:13.0","admin","2024-12-13 18:13:58.0"
"99c683ff-67cb-43fd-85c2-92293dccfd94","NEW","INSTITUTION","INSTITUTION_CASH_FLOWS","36","0","1","NIC004","四、汇率变动对现金的影响额","amount of the impact of exchange rate changes on cash","“汇率变动对现金的影响额”项目,反映单位本年外币现金流量折算为人民币时,所采用的现金流量发生日的汇率折算的人民币金额与外币现金流量净额按期末汇率折算的人民币金额之间的差额。","NIC004","四、汇率变动对现金的影响额","“汇率变动对现金的影响额”项目,反映单位本年外币现金流量折算为人民币时,所采用的现金流量发生日的汇率折算的人民币金额与外币现金流量净额按期末汇率折算的人民币金额之间的差额。",,"INPUT","admin","2024-12-12 17:35:22.0","admin","2024-12-13 18:20:32.0"
"9b0f6254-126d-4316-b6e1-1875d02121a1","NEW","INSTITUTION","INSTITUTION_INCOME_AND_EXPENSES","20","1","1","NIE001006","(六)对附属单位补助费用","subsidy to affiliated units","“对附属单位补助费用”项目,反映事业单位用财政拨款收入之外的收入对附属单位补助发生的费用。本项目应当根据“对附属单位补助费用”科目的本期发生额填列。","NIE001006","(六)对附属单位补助费用","“对附属单位补助费用”项目,反映事业单位用财政拨款收入之外的收入对附属单位补助发生的费用。本项目应当根据“对附属单位补助费用”科目的本期发生额填列。",,"INPUT","admin","2024-12-12 17:16:49.0","admin","2024-12-13 18:09:56.0"
"9e4c90cf-54f1-4cc1-931e-fd5c2e5172b2","OLD","COMPANY","COMPANY_CASH_FLOWS","16","1","1","OCC002005","收到其他与投资活动有关的现金","receipt of other cash related to investment activities",,"SX1800016","收到其他与投资活动有关的现金",,,"INPUT","admin","2024-12-09 18:04:18.0","admin","2025-07-31 17:28:35.0"
"9bb0e036-98d6-4ad4-889f-f43a4e770618","NEW","COMPANY","COMPANY_PROFIT","35","2","1","NCI00500202","2.其他债权投资公允价值变动","changes in the fair value of other debt investments",,"NCI00500202","2.其他债权投资公允价值变动",,,"INPUT","admin","2024-12-13 15:34:21.0","admin","2024-12-13 17:39:55.0"
"9bf3882c-6983-48ef-bc03-2ed3184acd66","NEW","COMPANY","COMPANY_LIABILITIES_AND_OWNERS_EQUITY","12","1","1","NCL001011","持有待售负债","held for sale liabilities","“持有待售负债”项目,反映资产负债表日处置组中与划分为持有待售类别的资产直接相关的负债的期末账面价值。该项目应根据“持有待售负债”科目的期末余额填列。","NCL001011","持有待售负债","“持有待售负债”项目,反映资产负债表日处置组中与划分为持有待售类别的资产直接相关的负债的期末账面价值。该项目应根据“持有待售负债”科目的期末余额填列。",,"INPUT","admin","2024-12-09 16:57:21.0","admin","2024-12-13 17:29:45.0"
"9d58d646-1f8e-4f5d-94ac-7793e902b4cc","NEW","COMPANY","COMPANY_LIABILITIES_AND_OWNERS_EQUITY","33","4","1","NCE00100202","永续债","perpetual note of equity instrument",,"NCE00100202","永续债",,,"INPUT","admin","2024-12-09 17:10:18.0","admin","2024-12-13 17:55:37.0"
"9e0cccdf-26a8-47e3-b283-c55316c445e8","NEW","INSTITUTION","INSTITUTION_CASH_FLOWS","27","1","1","NIC003001","财政资本性项目拨款收到的现金","cash received from appropriations for financial capital projects","“财政资本性项目拨款收到的现金”项目,反映单位本年接受用于购建固定资产、无形资产、公共基础设施等资本性项目的财政项目拨款取得的现金。本项目应当根据“银行存款”、“零余额账户用款额度”、“财政拨款收入”等科目及其所属明细科目的记录分析填列。","NIC003001","财政资本性项目拨款收到的现金","“财政资本性项目拨款收到的现金”项目,反映单位本年接受用于购建固定资产、无形资产、公共基础设施等资本性项目的财政项目拨款取得的现金。本项目应当根据“银行存款”、“零余额账户用款额度”、“财政拨款收入”等科目及其所属明细科目的记录分析填列。",,"INPUT","admin","2024-12-12 17:33:12.0","admin","2024-12-13 18:19:27.0"
"9e36e064-d06f-4559-886d-0b27aa130cc2","NEW","INSTITUTION","INSTITUTION_CASH_FLOWS","1","0","0","NIC001","一、日常活动产生的现金流量:","cash flow from day to day activities",,"NIC001","一、日常活动产生的现金流量:",,,"INPUT","admin","2024-12-12 17:22:48.0","admin","2024-12-13 18:11:14.0"
"9e4c90cf-54f1-4cc1-931e-fd5c2e5172b2","OLD","COMPANY","COMPANY_CASH_FLOWS","16","1","1","OCC002005","收到其他与投资活动有关的现金","receipt of other cash related to investment activities",,"OCC002005","收到其他与投资活动有关的现金",,,"INPUT","admin","2024-12-09 18:04:18.0","admin","2024-12-13 18:46:16.0"
"a00cfec4-bdd3-41ac-9908-579ae827b8d8","NEW","COMPANY","COMPANY_ASSETS","16","0","0","NCA002","非流动资产:","non current assets",,"NCA002","非流动资产:",,,"INPUT","admin","2024-12-09 16:58:51.0","admin","2024-12-13 17:25:26.0"
"a077feb3-5933-4b13-8900-fbe6aedc5c28","NEW","INSTITUTION","INSTITUTION_LIABILITIES_AND_NET_ASSETS","16","2","1","NIL001T","流动负债合计","total current liabilities","“流动负债合计”项目,反映单位期末流动负债合计数。本项目应当根据本表“短期借款”、“应交增值税”、“其他应交税费”、“应缴财政款”、“应付职工薪酬”、“应付票据”、“应付账款”、“应付政府补贴款”、“应付利息”、“预收账款”、“其他应付款”、“预提费用”、“一年内到期的非流动负债”、“其他流动负债”项目金额的合计数填列。","NIL001T","流动负债合计","“流动负债合计”项目,反映单位期末流动负债合计数。本项目应当根据本表“短期借款”、“应交增值税”、“其他应交税费”、“应缴财政款”、“应付职工薪酬”、“应付票据”、“应付账款”、“应付政府补贴款”、“应付利息”、“预收账款”、“其他应付款”、“预提费用”、“一年内到期的非流动负债”、“其他流动负债”项目金额的合计数填列。",,"INPUT","admin","2024-12-09 16:58:10.0","admin","2024-12-13 18:04:40.0"
"a077feb3-5933-4b13-8900-fbe6aedc5c3e","NEW","COMPANY","COMPANY_LIABILITIES_AND_OWNERS_EQUITY","15","2","1","NCL001T","流动负债合计","total current liabilities",,"NCL001T","流动负债合计",,,"INPUT","admin","2024-12-09 16:58:10.0","admin","2024-12-13 17:53:24.0"
"a170c59a-5081-4600-b64c-d6da53f0bc42","OLD","COMPANY","COMPANY_LIABILITIES_AND_OWNERS_EQUITY","12","1","1","OCL001010","持有待售负债","held for sale liabilities","“持有待售负债”项目,反映资产负债表日处置组中与划分为持有待售类别的资产直接相关的负债的期末账面价值。该项目应根据“持有待售负债”科目的期末余额填列。","OCL001010","持有待售负债","“持有待售负债”项目,反映资产负债表日处置组中与划分为持有待售类别的资产直接相关的负债的期末账面价值。该项目应根据“持有待售负债”科目的期末余额填列。",,"INPUT","admin","2024-12-09 16:57:21.0","admin","2024-12-13 18:34:51.0"
"a170c59a-5081-4600-b64c-d6da53f0bc42","OLD","COMPANY","COMPANY_LIABILITIES_AND_OWNERS_EQUITY","12","1","1","OCL001010","持有待售负债","held for sale liabilities","“持有待售负债”项目,反映资产负债表日处置组中与划分为持有待售类别的资产直接相关的负债的期末账面价值。该项目应根据“持有待售负债”科目的期末余额填列。","OCL001010","持有待售负债","“持有待售负债”项目,反映资产负债表日处置组中与划分为持有待售类别的资产直接相关的负债的期末账面价值。该项目应根据“持有待售负债”科目的期末余额填列。",,"INPUT","admin","2024-12-09 16:57:21.0","admin","2024-12-13 18:34:51.0"
"a202cb62-1a74-445d-b35d-9e53571c869e","NEW","COMPANY","COMPANY_CASH_FLOWS","16","1","1","NCC002005","收到其他与投资活动有关的现金","receipt of other cash related to investment activities",,"NCC002005","收到其他与投资活动有关的现金",,,"INPUT","admin","2024-12-09 18:04:18.0","admin","2024-12-13 17:42:51.0"
"a4d156b2-fbdd-49b7-96fd-8bee0414447c","NEW","COMPANY","COMPANY_PROFIT","41","0","1","NCI007","七、每股收益:","earnings per share",,"NCI007","七、每股收益:",,,"INPUT","admin","2024-12-09 17:59:28.0","admin","2024-12-13 17:34:59.0"
"a4df998c-dfe2-46a3-b49d-86928dd2a165","NEW","INSTITUTION","INSTITUTION_CASH_FLOWS","28","1","1","NIC003002","取得借款收到的现金","obtain cash received from borrowing","“取得借款收到的现金”项目,反映事业单位本年举借短期、长期借款所收到的现金。本项目应当根据“库存现金”、“银行存款”、“短期借款”、“长期借款”等科目记录分析填列。","NIC003002","取得借款收到的现金","“取得借款收到的现金”项目,反映事业单位本年举借短期、长期借款所收到的现金。本项目应当根据“库存现金”、“银行存款”、“短期借款”、“长期借款”等科目记录分析填列。",,"INPUT","admin","2024-12-12 17:33:22.0","admin","2024-12-13 18:19:31.0"
"a5242b58-0bd9-4792-bd28-a24410337e95","NEW","INSTITUTION","INSTITUTION_CASH_FLOWS","7","2","1","NIC001STI","日常活动的现金流入小计","subtotal of cash inflows from day to day activities","“日常活动的现金流入小计”项目,反映单位本年日常活动产生的现金流入的合计数。本项目应当根据本表中“财政基本支出拨款收到的现金”、“财政非资本性项目拨款收到的现金”、“事业活动收到的除财政拨款以外的现金”、“收到的其他与日常活动有关的现金”项目金额的合计数填列。","NIC001STI","日常活动的现金流入小计","“日常活动的现金流入小计”项目,反映单位本年日常活动产生的现金流入的合计数。本项目应当根据本表中“财政基本支出拨款收到的现金”、“财政非资本性项目拨款收到的现金”、“事业活动收到的除财政拨款以外的现金”、“收到的其他与日常活动有关的现金”项目金额的合计数填列。",,"INPUT","admin","2024-12-12 17:28:08.0","admin","2024-12-13 18:11:56.0"
"a5bb0eda-4abb-4a71-904a-06e5fbe950f8","NEW","COMPANY","COMPANY_ASSETS","35","2","1","NCA002T","非流动资产合计","total non current assets",,"NCA002T","非流动资产合计",,,"INPUT","admin","2024-12-09 17:11:45.0","admin","2024-12-13 17:52:56.0"
"a5c8f4cb-cc60-458c-bc28-f5e3511707c9","OLD","COMPANY","COMPANY_LIABILITIES_AND_OWNERS_EQUITY","19","2","1","OCL00200201","其中:优先股","preferred stock of bonds",,"OCL00200201","其中:优先股",,,"INPUT","admin","2024-12-09 17:00:43.0","admin","2024-12-13 18:35:50.0"
"a5c8f4cb-cc60-458c-bc28-f5e3511707c9","OLD","COMPANY","COMPANY_LIABILITIES_AND_OWNERS_EQUITY","19","2","1","OCL00200201","其中:优先股","preferred stock of bonds",,"OCL00200201","其中:优先股",,,"INPUT","admin","2024-12-09 17:00:43.0","admin","2024-12-13 18:35:50.0"
"aa49dc3a-cd74-4dcf-b1ac-274b61575ead","NEW","COMPANY","COMPANY_PROFIT","34","2","1","NCI00500201","1.权益法下可转损益的其他综合收益","other comprehensive income from transferable gains or losses under the equity method",,"NCI00500201","1.权益法下可转损益的其他综合收益",,,"INPUT","admin","2024-12-13 15:34:06.0","admin","2024-12-13 17:39:51.0"
"abfcca09-025e-4e77-879b-621ac25a7714","NEW","COMPANY","COMPANY_PROFIT","33","1","1","NCI005002","(二)将重分类进损益的其他综合收益","other comprehensive income that can be reclassified",,"NCI005002","(二)将重分类进损益的其他综合收益",,,"INPUT","admin","2024-12-09 17:58:56.0","admin","2024-12-13 17:39:42.0"
"ac0a79b0-caed-48d4-82a1-f43d73331553","NEW","COMPANY","COMPANY_ASSETS","22","1","1","NCA002006","其他非流动金融资产","other non current financial assets",,"NCA002006","其他非流动金融资产",,,"INPUT","admin","2024-12-09 17:03:55.0","admin","2024-12-13 17:26:08.0"
"ac73ef87-6fe6-4e9c-9fcc-3dec6e817111","NEW","COMPANY","COMPANY_PROFIT","10","1","1","NCI001002","加:其他收益","add other income","“其他收益”项目,反映计入其他收益的政府补助,以及其他与日常活动相关且计入其他收益的项目。该项目应根据“其他收益”科目的发生额分析填列。企业作为个人所得税的扣缴义务人,根据《中华人民共和国个人所得税法》收到的扣缴税款手续费,应作为其他与日常活动相关的收益在该项目中填列。","NCI001002","加:其他收益","“其他收益”项目,反映计入其他收益的政府补助,以及其他与日常活动相关且计入其他收益的项目。该项目应根据“其他收益”科目的发生额分析填列。企业作为个人所得税的扣缴义务人,根据《中华人民共和国个人所得税法》收到的扣缴税款手续费,应作为其他与日常活动相关的收益在该项目中填列。",,"INPUT","admin","2024-12-09 17:53:15.0","admin","2024-12-13 17:36:57.0"
"ad35611b-a65a-4758-9c3d-2e21c13f9a71","NEW","INSTITUTION","INSTITUTION_LIABILITIES_AND_NET_ASSETS","31","2","1","NINT","净资产合计","total net assets","“净资产合计”项目,反映单位期末净资产合计数。本项目应当根据本表中“累计盈余”、“专用基金”、“权益法调整”、“无偿调拨净资产”[月度报表]、“本期盈余”[月度报表]项目金额的合计数填列。","NINT","净资产合计","“净资产合计”项目,反映单位期末净资产合计数。本项目应当根据本表中“累计盈余”、“专用基金”、“权益法调整”、“无偿调拨净资产”[月度报表]、“本期盈余”[月度报表]项目金额的合计数填列。",,"INPUT","admin","2024-12-12 16:54:40.0","admin","2024-12-13 18:04:17.0"
"ae55a86e-020c-47a4-bc35-b4925b12d0c7","NEW","INSTITUTION","INSTITUTION_CASH_FLOWS","9","1","1","NIC001006","支付给职工以及为职工支付的现金","cash paid to and on behalf of employees","“支付给职工以及为职工支付的现金”项目,反映单位本年支付给职工以及为职工支付的现金。本项目应当根据“库存现金”、“银行存款”、“零余额账户用款额度”、 “财政拨款收入”、“应付职工薪酬”、“业务活动费用”、“单位管理费用”、“经营费用”等科目及其所属明细科目的记录分析填列。","NIC001006","支付给职工以及为职工支付的现金","“支付给职工以及为职工支付的现金”项目,反映单位本年支付给职工以及为职工支付的现金。本项目应当根据“库存现金”、“银行存款”、“零余额账户用款额度”、 “财政拨款收入”、“应付职工薪酬”、“业务活动费用”、“单位管理费用”、“经营费用”等科目及其所属明细科目的记录分析填列。",,"INPUT","admin","2024-12-12 17:29:28.0","admin","2024-12-13 18:12:18.0"
"b02750d1-5cdb-418a-b731-571b9e05f4b5","OLD","COMPANY","COMPANY_CASH_FLOWS","10","3","1","OCC001T","经营活动产生的现金流量净额","net cash flow from operating activities",,"SX1800011","经营活动产生的现金流量净额",,,"INPUT","admin","2024-12-09 18:03:08.0","admin","2025-07-31 17:27:36.0"
"afeed993-0a1c-49e9-8cb8-c0f682f07a49","NEW","COMPANY","COMPANY_CASH_FLOWS","18","1","1","NCC002006","购建固定资产、无形资产和其他长期资产支付的现金","cash paid for the purchase and construction of fixed assets intangible assets and other long term assets",,"NCC002006","购建固定资产、无形资产和其他长期资产支付的现金",,,"INPUT","admin","2024-12-09 18:04:31.0","admin","2024-12-13 17:43:03.0"
"b02750d1-5cdb-418a-b731-571b9e05f4b5","OLD","COMPANY","COMPANY_CASH_FLOWS","10","3","1","OCC001T","经营活动产生的现金流量净额","net cash flow from operating activities",,"OCC001T","经营活动产生的现金流量净额",,,"INPUT","admin","2024-12-09 18:03:08.0","admin","2024-12-13 18:45:40.0"
"b1c483d3-c5b2-43c9-9b2b-630b25b7f91d","NEW","COMPANY","COMPANY_LIABILITIES_AND_OWNERS_EQUITY","1","1","1","NCL001001","短期借款","short term loans",,"NCL001001","短期借款",,,"INPUT","admin","2024-12-09 16:53:33.0","admin","2024-12-13 17:28:58.0"
"b1c483d3-c5b2-43c9-9b2b-630b25b7f929","NEW","INSTITUTION","INSTITUTION_LIABILITIES_AND_NET_ASSETS","2","1","1","NIL001001","短期借款","short term loans","“短期借款”项目,反映事业单位期末短期借款的余额。本项目应当根据“短期借款”科目的期末余额填列。","NIL001001","短期借款","“短期借款”项目,反映事业单位期末短期借款的余额。本项目应当根据“短期借款”科目的期末余额填列。",,"INPUT","admin","2024-12-09 16:53:33.0","admin","2024-12-13 18:05:32.0"
"b26aac56-a6f7-4aa3-8e2b-963581e71ea9","NEW","INSTITUTION","INSTITUTION_INCOME_AND_EXPENSES","3","2","1","NII00100101","其中:政府性基金收入","including government fund income","“政府性基金收入”项目,反映单位本期取得的财政拨款收入中属于政府性基金预算拨款的金额。本项目应当根据“财政拨款收入”相关明细科目的本期发生额填列。","NII00100101","其中:政府性基金收入","“政府性基金收入”项目,反映单位本期取得的财政拨款收入中属于政府性基金预算拨款的金额。本项目应当根据“财政拨款收入”相关明细科目的本期发生额填列。",,"INPUT","admin","2024-12-12 17:03:50.0","admin","2024-12-13 18:08:27.0"
"b2a613f5-e00e-4f6d-85fc-ddf9a7ca3ee4","NEW","COMPANY","COMPANY_PROFIT","12","3","1","NCI0010020101","其中:对联营企业和合营企业的投资收益","including income on investment in associates and joint ventures",,"NCI0010020101","其中:对联营企业和合营企业的投资收益",,,"INPUT","admin","2024-12-09 17:53:44.0","admin","2024-12-13 17:37:24.0"
"b39f1aee-ded9-43fc-8e1e-2ee47b211930","OLD","COMPANY","COMPANY_PROFIT","33","2","1","OCI00500205","5.外币财务报表折算差额","differences in translation of financial statements in foreign currencies",,"OCI00500205","5.外币财务报表折算差额",,,"INPUT","admin","2024-12-13 15:00:51.0","admin","2024-12-13 18:42:08.0"
"b39f1aee-ded9-43fc-8e1e-2ee47b211930","OLD","COMPANY","COMPANY_PROFIT","33","2","1","OCI00500205","5.外币财务报表折算差额","differences in translation of financial statements in foreign currencies",,"OCI00500205","5.外币财务报表折算差额",,,"INPUT","admin","2024-12-13 15:00:51.0","admin","2024-12-13 18:42:08.0"
"b3e986f9-4e4a-42de-95d0-c48c34c92f30","NEW","INSTITUTION","INSTITUTION_LIABILITIES_AND_NET_ASSETS","15","1","1","NIL001014","其他流动负债","other current liabilities","“其他流动负债”项目,反映单位期末除本表中上述各项之外的其他流动负债的合计数。本项目应当根据有关科目的期末余额的合计数填列。","NIL001014","其他流动负债","“其他流动负债”项目,反映单位期末除本表中上述各项之外的其他流动负债的合计数。本项目应当根据有关科目的期末余额的合计数填列。",,"INPUT","admin","2024-12-09 16:57:53.0","admin","2024-12-13 18:06:39.0"
"b3e986f9-4e4a-42de-95d0-c48c34c92f55","NEW","COMPANY","COMPANY_LIABILITIES_AND_OWNERS_EQUITY","14","1","1","NCL001013","其他流动负债","other current liabilities",,"NCL001013","其他流动负债",,,"INPUT","admin","2024-12-09 16:57:53.0","admin","2024-12-13 17:29:53.0"
"ba1af45b-52ba-484e-b7db-9b6be163b118","NEW","COMPANY","COMPANY_CASH_FLOWS","20","1","1","NCC002008","取得子公司及其他营业单位支付的现金净额","net cash payments from subsidiaries and other business units",,"NCC002008","取得子公司及其他营业单位支付的现金净额",,,"INPUT","admin","2024-12-09 18:04:44.0","admin","2024-12-13 17:43:13.0"
"bb0bf316-c851-4e3b-b1b1-99b39300a893","NEW","COMPANY","COMPANY_ASSETS","27","1","1","NCA002011","油气资产","oil and gas assets",,"NCA002011","油气资产",,,"INPUT","admin","2024-12-09 17:05:51.0","admin","2024-12-13 17:26:32.0"
"bb831fdf-73cf-4fee-940f-086f9a57eb86","NEW","COMPANY","COMPANY_CASH_FLOWS","27","1","1","NCC003003","收到其他与筹资活动有关的现金","other cash received in connection with fund raising activities",,"NCC003003","收到其他与筹资活动有关的现金",,,"INPUT","admin","2024-12-09 18:07:35.0","admin","2024-12-13 17:43:51.0"
"bc581c4e-3373-45c8-a5a6-aa8feaef4622","OLD","COMPANY","COMPANY_PROFIT","24","0","1","OCI005","五、其他综合收益的税后净额","net after tax on other comprehensive income",,"OCI005","五、其他综合收益的税后净额",,,"INPUT","admin","2024-12-09 17:58:12.0","admin","2024-12-13 18:37:03.0"
"bc581c4e-3373-45c8-a5a6-aa8feaef4622","OLD","COMPANY","COMPANY_PROFIT","24","0","1","OCI005","五、其他综合收益的税后净额","net after tax on other comprehensive income",,"OCI005","五、其他综合收益的税后净额",,,"INPUT","admin","2024-12-09 17:58:12.0","admin","2024-12-13 18:37:03.0"
"bd1af66f-4d02-46a9-879d-f9aedd9e6dc5","OLD","COMPANY","COMPANY_CASH_FLOWS","15","1","1","OCC002004","处置子公司及其他营业单位收到的现金净额","net cash received from disposal subsidiaries and other business units",,"OCC002004","处置子公司及其他营业单位收到的现金净额",,,"INPUT","admin","2024-12-09 18:04:11.0","admin","2024-12-13 18:46:12.0"
"bd1af66f-4d02-46a9-879d-f9aedd9e6dc5","OLD","COMPANY","COMPANY_CASH_FLOWS","15","1","1","OCC002004","处置子公司及其他营业单位收到的现金净额","net cash received from disposal subsidiaries and other business units",,"OCC002004","处置子公司及其他营业单位收到的现金净额",,,"INPUT","admin","2024-12-09 18:04:11.0","admin","2024-12-13 18:46:12.0"
"bef7a776-a5c4-4ad7-a622-e1dcf88469df","NEW","INSTITUTION","INSTITUTION_INCOME_AND_EXPENSES","5","1","1","NII001003","(三)上级补助收入","subsidy income from superiors","“上级补助收入”项目,反映事业单位本期从主管部门和上级单位收到或应收的非财政拨款收入。本项目应当根据“上级补助收入”科目的本期发生额填列。","NII001003","(三)上级补助收入","“上级补助收入”项目,反映事业单位本期从主管部门和上级单位收到或应收的非财政拨款收入。本项目应当根据“上级补助收入”科目的本期发生额填列。",,"INPUT","admin","2024-12-12 17:06:15.0","admin","2024-12-13 18:08:39.0"
"c018566c-5d27-4742-89f0-80cdde90201e","OLD","COMPANY","COMPANY_LIABILITIES_AND_OWNERS_EQUITY","17","1","1","OCL002001","长期借款","long term loans payable",,"OCL002001","长期借款",,,"INPUT","admin","2024-12-09 16:59:40.0","admin","2024-12-13 18:35:20.0"
"c018566c-5d27-4742-89f0-80cdde90201e","OLD","COMPANY","COMPANY_LIABILITIES_AND_OWNERS_EQUITY","17","1","1","OCL002001","长期借款","long term loans payable",,"OCL002001","长期借款",,,"INPUT","admin","2024-12-09 16:59:40.0","admin","2024-12-13 18:35:20.0"
"c298ccf8-c699-4c0c-a53f-e95ac5716b14","NEW","INSTITUTION","INSTITUTION_INCOME_AND_EXPENSES","6","1","1","NII001004","(四)附属单位上缴收入","affiliated units hand over income","“附属单位上缴收入”项目,反映事业单位本期收到或应收的独立核算的附属单位按照有关规定上缴的收入。本项目应当根据“附属单位上缴收入”科目的本期发生额填列。","NII001004","(四)附属单位上缴收入","“附属单位上缴收入”项目,反映事业单位本期收到或应收的独立核算的附属单位按照有关规定上缴的收入。本项目应当根据“附属单位上缴收入”科目的本期发生额填列。",,"INPUT","admin","2024-12-12 17:07:00.0","admin","2024-12-13 18:08:42.0"
"c4c314fe-4c44-4268-b1bb-a79619667b74","OLD","COMPANY","COMPANY_ASSETS","14","0","0","OCA002","非流动资产:","non current assets",,"OCA002","非流动资产:",,,"INPUT","admin","2024-12-09 16:58:51.0","admin","2024-12-13 18:29:40.0"
"c4c314fe-4c44-4268-b1bb-a79619667b74","OLD","COMPANY","COMPANY_ASSETS","14","0","0","OCA002","非流动资产:","non current assets",,"OCA002","非流动资产:",,,"INPUT","admin","2024-12-09 16:58:51.0","admin","2024-12-13 18:29:40.0"
"c5d1ad39-66ae-4eac-b933-c5ef54dbc26e","NEW","COMPANY","COMPANY_CASH_FLOWS","22","2","1","NCC002STO","投资活动现金流出小计","subtotal cash outflows from investing activities",,"NCC002STO","投资活动现金流出小计",,,"INPUT","admin","2024-12-09 18:06:14.0","admin","2024-12-13 17:59:45.0"
"c676b991-a5b7-4412-9fa7-380ecb8d8eb9","NEW","INSTITUTION","INSTITUTION_CASH_FLOWS","35","3","1","NIC003T","筹资活动产生的现金流量净额","net cash flow from financing activities","“筹资活动产生的现金流量净额”项目,应当按照本表中“筹资活动的现金流入小计”项目金额减去“筹资活动的现金流出小计”金额后的金额填列;如为负数,以“-”号填列。","NIC003T","筹资活动产生的现金流量净额","“筹资活动产生的现金流量净额”项目,应当按照本表中“筹资活动的现金流入小计”项目金额减去“筹资活动的现金流出小计”金额后的金额填列;如为负数,以“-”号填列。",,"INPUT","admin","2024-12-12 17:35:08.0","admin","2024-12-13 18:20:05.0"
"c859727f-190c-40a1-a145-c64bef3203c6","OLD","COMPANY","COMPANY_CASH_FLOWS","4","2","1","OCC001STI","经营活动现金流入小计","sub total of cash flow from operating activities",,"SX1800005","经营活动现金流入小计",,,"INPUT","admin","2024-12-09 18:01:14.0","admin","2025-07-31 17:26:41.0"
"c859727f-190c-40a1-a145-c64bef3203c6","OLD","COMPANY","COMPANY_CASH_FLOWS","4","2","1","OCC001STI","经营活动现金流入小计","sub total of cash flow from operating activities",,"OCC001STI","经营活动现金流入小计",,,"INPUT","admin","2024-12-09 18:01:14.0","admin","2024-12-13 18:45:24.0"
"c8c18168-e74c-4a62-ae00-0c2a33576d6e","NEW","COMPANY","COMPANY_CASH_FLOWS","13","1","1","NCC002002","取得投资收益收到的现金","cash received from investment income",,"NCC002002","取得投资收益收到的现金",,,"INPUT","admin","2024-12-09 18:03:54.0","admin","2024-12-13 17:42:39.0"
"ca7c81c5-47ef-4383-a1b1-d715361917ee","OLD","COMPANY","COMPANY_CASH_FLOWS","13","1","1","OCC002002","取得投资收益收到的现金","cash received from investment income",,"SX1800014","取得投资收益收到的现金",,,"INPUT","admin","2024-12-09 18:03:54.0","admin","2025-07-31 17:28:02.0"
"ca7c81c5-47ef-4383-a1b1-d715361917ee","OLD","COMPANY","COMPANY_CASH_FLOWS","13","1","1","OCC002002","取得投资收益收到的现金","cash received from investment income",,"OCC002002","取得投资收益收到的现金",,,"INPUT","admin","2024-12-09 18:03:54.0","admin","2024-12-13 18:46:06.0"
"caa0bb9f-0eaf-4fbd-ba40-a2ce2002c519","OLD","COMPANY","COMPANY_CASH_FLOWS","36","1","1","OCC005A001","加:期初现金及现金等价物余额","add opening cash and cash equivalents balances",,"OCC005A001","加:期初现金及现金等价物余额",,,"INPUT","admin","2024-12-09 18:10:09.0","admin","2024-12-13 18:47:44.0"
"caa0bb9f-0eaf-4fbd-ba40-a2ce2002c519","OLD","COMPANY","COMPANY_CASH_FLOWS","36","1","1","OCC005A001","加:期初现金及现金等价物余额","add opening cash and cash equivalents balances",,"OCC005A001","加:期初现金及现金等价物余额",,,"INPUT","admin","2024-12-09 18:10:09.0","admin","2024-12-13 18:47:44.0"
"cca075d6-4c8f-47b1-8954-c23455b9d7e8","OLD","COMPANY","COMPANY_CASH_FLOWS","17","2","1","OCC002STI","投资活动现金流入小计","sub total cash flows from investing activities",,"SX1800017","投资活动现金流入小计",,,"INPUT","admin","2024-12-09 18:04:25.0","admin","2025-07-31 17:28:45.0"
"cca075d6-4c8f-47b1-8954-c23455b9d7e8","OLD","COMPANY","COMPANY_CASH_FLOWS","17","2","1","OCC002STI","投资活动现金流入小计","sub total cash flows from investing activities",,"OCC002STI","投资活动现金流入小计",,,"INPUT","admin","2024-12-09 18:04:25.0","admin","2024-12-13 18:46:23.0"
"ce33bdf6-1c16-4388-9009-f2491a4e46bf","NEW","INSTITUTION","INSTITUTION_CASH_FLOWS","10","1","1","NIC001007","支付的各项税费","taxes and fees paid","“支付的各项税费”项目,反映单位本年用于缴纳日常活动相关税费而支付的现金。本项目应当根据“库存现金”、“银行存款”、“零余额账户用款额度”、“应交增值税”、“其他应交税费”、“业务活动费用”、“单位管理费用”、“经营费用”、“所得税费用”等科目及其所属明细科目的记录分析填列。","NIC001007","支付的各项税费","“支付的各项税费”项目,反映单位本年用于缴纳日常活动相关税费而支付的现金。本项目应当根据“库存现金”、“银行存款”、“零余额账户用款额度”、“应交增值税”、“其他应交税费”、“业务活动费用”、“单位管理费用”、“经营费用”、“所得税费用”等科目及其所属明细科目的记录分析填列。",,"INPUT","admin","2024-12-12 17:29:53.0","admin","2024-12-13 18:12:22.0"
"cf8f117c-bf7e-49b3-9755-cd4ac5eb561f","OLD","COMPANY","COMPANY_CASH_FLOWS","32","2","1","OCC003STO","筹资活动现金流出小计","subtotal cash outflows from financing activities",,"SX1800031","筹资活动现金流出小计",,,"INPUT","admin","2024-12-09 18:08:55.0","admin","2025-07-31 17:31:05.0"
"ceba04e7-4851-4feb-9f06-f06b04fd8d43","NEW","COMPANY","COMPANY_PROFIT","29","2","1","NCI00500101","1.重新计量设定受益计划变动额","remeasurement of changes in defined benefit plans",,"NCI00500101","1.重新计量设定受益计划变动额",,,"INPUT","admin","2024-12-13 15:32:27.0","admin","2024-12-13 17:39:18.0"
"d543476a-650a-45b7-bde2-508ce7a4d173","OLD","COMPANY","COMPANY_CASH_FLOWS","12","1","1","OCC002001","收回投资收到的现金","cash received from the investment is recovered",,"SX1800013","收回投资收到的现金",,,"INPUT","admin","2024-12-09 18:03:36.0","admin","2025-07-31 17:27:51.0"
"cf8f117c-bf7e-49b3-9755-cd4ac5eb561f","OLD","COMPANY","COMPANY_CASH_FLOWS","32","2","1","OCC003STO","筹资活动现金流出小计","subtotal cash outflows from financing activities",,"OCC003STO","筹资活动现金流出小计",,,"INPUT","admin","2024-12-09 18:08:55.0","admin","2024-12-13 18:47:27.0"
"d2497548-1af5-438e-84dc-9dccfdcff46a","NEW","COMPANY","COMPANY_ASSETS","25","1","1","NCA002009","在建工程","construction in progress","“在建工程”项目,反映资产负债表日企业尚未达到预定可使用状态的在建工程的期末账面价值和企业为在建工程准备的各种物资的期末账面价值。该项目应根据“在建工程”科目的期末余额,减去“在建工程减值准备”科目的期末余额后的金额,以及“工程物资”科目的期末余额,减去“工程物资减值准备”科目的期末余额后的金额填列。","NCA002009","在建工程","“在建工程”项目,反映资产负债表日企业尚未达到预定可使用状态的在建工程的期末账面价值和企业为在建工程准备的各种物资的期末账面价值。该项目应根据“在建工程”科目的期末余额,减去“在建工程减值准备”科目的期末余额后的金额,以及“工程物资”科目的期末余额,减去“工程物资减值准备”科目的期末余额后的金额填列。",,"INPUT","admin","2024-12-09 17:05:01.0","admin","2024-12-13 17:26:20.0"
"d33b866d-936d-4405-93c4-e2e1f54de407","NEW","INSTITUTION","INSTITUTION_CASH_FLOWS","19","2","1","NIC002STI","投资活动的现金流入小计","subtotal of cash inflows from investing activities","“投资活动的现金流入小计”项目,反映单位本年投资活动产生的现金流入的合计数。本项目应当根据本表中“收回投资收到的现金”、“取得投资收益收到的现金”、“处置固定资产、无形资产、公共基础设施等收回的现金净额”、“收到的其他与投资活动有关的现金”项目金额的合计数填列。","NIC002STI","投资活动的现金流入小计","“投资活动的现金流入小计”项目,反映单位本年投资活动产生的现金流入的合计数。本项目应当根据本表中“收回投资收到的现金”、“取得投资收益收到的现金”、“处置固定资产、无形资产、公共基础设施等收回的现金净额”、“收到的其他与投资活动有关的现金”项目金额的合计数填列。",,"INPUT","admin","2024-12-12 17:31:41.0","admin","2024-12-13 18:18:53.0"
"d543476a-650a-45b7-bde2-508ce7a4d173","OLD","COMPANY","COMPANY_CASH_FLOWS","12","1","1","OCC002001","收回投资收到的现金","cash received from the investment is recovered",,"OCC002001","收回投资收到的现金",,,"INPUT","admin","2024-12-09 18:03:36.0","admin","2024-12-13 18:46:02.0"
"d61a5d77-67ad-4a81-8298-82cc0d301223","NEW","COMPANY","COMPANY_LIABILITIES_AND_OWNERS_EQUITY","22","1","1","NCL002004","长期应付款","long term accounts payable","“长期应付款”项目,反映资产负债表日企业除长期借款和应付债券以外的其他各种长期应付款项的期末账面价值。该项目应根据“长期应付款”科目的期末余额,减去相关的“未确认融资费用”科目的期末余额后的金额,以及“专项应付款”科目的期末余额填列。","NCL002004","长期应付款","“长期应付款”项目,反映资产负债表日企业除长期借款和应付债券以外的其他各种长期应付款项的期末账面价值。该项目应根据“长期应付款”科目的期末余额,减去相关的“未确认融资费用”科目的期末余额后的金额,以及“专项应付款”科目的期末余额填列。",,"INPUT","admin","2024-12-09 17:04:09.0","admin","2024-12-13 17:31:19.0"
"d6f71c56-8003-4e48-af45-e4cb96eb0e48","NEW","INSTITUTION","INSTITUTION_CASH_FLOWS","26","0","0","NIC003","三、筹资活动产生的现金流量:","cash flows from financing activities",,"NIC003","三、筹资活动产生的现金流量:",,,"INPUT","admin","2024-12-12 17:33:01.0","admin","2024-12-13 18:19:20.0"
"d8a367a0-8fbc-4da2-bd29-424bf244b2b3","OLD","COMPANY","COMPANY_PROFIT","35","0","1","OCI007","七、每股收益:","earnings per share",,"OCI007","七、每股收益:",,,"INPUT","admin","2024-12-09 17:59:28.0","admin","2024-12-13 18:37:13.0"
"d8a367a0-8fbc-4da2-bd29-424bf244b2b3","OLD","COMPANY","COMPANY_PROFIT","35","0","1","OCI007","七、每股收益:","earnings per share",,"OCI007","七、每股收益:",,,"INPUT","admin","2024-12-09 17:59:28.0","admin","2024-12-13 18:37:13.0"
"db32aed6-bd65-4e2f-b569-d4b6e7542f43","NEW","COMPANY","COMPANY_CASH_FLOWS","2","1","1","NCC001002","收到的税费返还","refunds of taxes",,"NCC001002","收到的税费返还",,,"INPUT","admin","2024-12-09 18:00:39.0","admin","2024-12-13 17:41:36.0"
"db691af8-d1d4-493e-b2d6-dc088a72117a","OLD","COMPANY","COMPANY_CASH_FLOWS","11","0","0","OCC002","二、投资活动产生的现金流量:","cash flows from investing activities",,"OCC002","二、投资活动产生的现金流量:",,,"INPUT","admin","2024-12-09 18:03:21.0","admin","2024-12-13 18:43:13.0"
"db691af8-d1d4-493e-b2d6-dc088a72117a","OLD","COMPANY","COMPANY_CASH_FLOWS","11","0","0","OCC002","二、投资活动产生的现金流量:","cash flows from investing activities",,"SX1800012","二、投资活动产生的现金流量:",,,"INPUT","admin","2024-12-09 18:03:21.0","admin","2025-07-31 17:27:45.0"
"dbfd475a-e772-415c-8dc4-3f750bff3dad","OLD","COMPANY","COMPANY_PROFIT","13","2","1","OCI001A03","公允价值变动收益(损失以“-”号填列)","add income of fair value change",,"OCI001A03","公允价值变动收益(损失以“-”号填列)",,,"INPUT","admin","2024-12-09 17:54:48.0","admin","2024-12-13 18:40:21.0"
"dbfd475a-e772-415c-8dc4-3f750bff3dad","OLD","COMPANY","COMPANY_PROFIT","13","2","1","OCI001A03","公允价值变动收益(损失以“-”号填列)","add income of fair value change",,"OCI001A03","公允价值变动收益(损失以“-”号填列)",,,"INPUT","admin","2024-12-09 17:54:48.0","admin","2024-12-13 18:40:21.0"
"dcfa48fd-77c6-45d0-a80d-3df1c4fa8ae1","NEW","COMPANY","COMPANY_PROFIT","36","2","1","NCI00500203","3.金融资产重分类计入其他综合收益的金额","the amount of financial assets that are reclassified into other comprehensive income","“金融资产重分类计入其他综合收益的金额”项目,反映企业将一项以摊余成本计量的金融资产重分类为以公允价值计量且其变动计入其他综合收益的金融资产时,计入其他综合收益的原账面价值与公允价值之间的差额。该项目应根据“其他综合收益”科目下的相关明细科目的发生额分析填列。","NCI00500203","3.金融资产重分类计入其他综合收益的金额","“金融资产重分类计入其他综合收益的金额”项目,反映企业将一项以摊余成本计量的金融资产重分类为以公允价值计量且其变动计入其他综合收益的金融资产时,计入其他综合收益的原账面价值与公允价值之间的差额。该项目应根据“其他综合收益”科目下的相关明细科目的发生额分析填列。",,"INPUT","admin","2024-12-13 15:34:35.0","admin","2024-12-13 17:39:59.0"
"dd7af2cd-fbc4-4e11-bb0c-2ba78f0fa1d9","NEW","COMPANY","COMPANY_PROFIT","20","1","1","NCI002001","加:营业外收入","add non operating income","“营业外收入”项目,反映企业发生的除营业利润以外的收益,主要包括与企业日常活动无关的政府补助、盘盈利得、捐赠利得(企业接受股东或股东的子公司直接或间接的捐赠,经济实质属于股东对企业的资本性投入的除外)等。该项目应根据“营业外收入”科目的发生额分析填列。","NCI002001","加:营业外收入","“营业外收入”项目,反映企业发生的除营业利润以外的收益,主要包括与企业日常活动无关的政府补助、盘盈利得、捐赠利得(企业接受股东或股东的子公司直接或间接的捐赠,经济实质属于股东对企业的资本性投入的除外)等。该项目应根据“营业外收入”科目的发生额分析填列。",,"INPUT","admin","2024-12-09 17:56:35.0","admin","2024-12-13 17:38:21.0"
"dde6c957-a739-4b85-89fa-46fd59b50a80","OLD","COMPANY","COMPANY_PROFIT","17","1","1","OCI002A01","加:营业外收入","add non operating income","“营业外收入”项目,反映企业发生的除营业利润以外的收益,主要包括与企业日常活动无关的政府补助、盘盈利得、捐赠利得(企业接受股东或股东的子公司直接或间接的捐赠,经济实质属于股东对企业的资本性投入的除外)等。该项目应根据“营业外收入”科目的发生额分析填列。","SL1800012","加:营业外收入","“营业外收入”项目,反映企业发生的除营业利润以外的收益,主要包括与企业日常活动无关的政府补助、盘盈利得、捐赠利得(企业接受股东或股东的子公司直接或间接的捐赠,经济实质属于股东对企业的资本性投入的除外)等。该项目应根据“营业外收入”科目的发生额分析填列。",,"INPUT","admin","2024-12-09 17:56:35.0","admin","2025-07-31 17:24:52.0"
"dde6c957-a739-4b85-89fa-46fd59b50a80","OLD","COMPANY","COMPANY_PROFIT","17","1","1","OCI002A01","加:营业外收入","add non operating income","“营业外收入”项目,反映企业发生的除营业利润以外的收益,主要包括与企业日常活动无关的政府补助、盘盈利得、捐赠利得(企业接受股东或股东的子公司直接或间接的捐赠,经济实质属于股东对企业的资本性投入的除外)等。该项目应根据“营业外收入”科目的发生额分析填列。","OCI002A01","加:营业外收入","“营业外收入”项目,反映企业发生的除营业利润以外的收益,主要包括与企业日常活动无关的政府补助、盘盈利得、捐赠利得(企业接受股东或股东的子公司直接或间接的捐赠,经济实质属于股东对企业的资本性投入的除外)等。该项目应根据“营业外收入”科目的发生额分析填列。",,"INPUT","admin","2024-12-09 17:56:35.0","admin","2024-12-13 18:40:41.0"
"de2671b0-ce11-4149-89bd-2518cb718b2c","NEW","INSTITUTION","INSTITUTION_CASH_FLOWS","11","1","1","NIC001008","支付的其他与日常活动有关的现金","other cash payments related to daily activities","“支付的其他与日常活动有关的现金”项目,反映单位本年支付的除上述项目之外与日常活动有关的现金。本项目应当根据“库存现金”、“银行存款”、 “零余额账户用款额度”、 “财政拨款收入”、“其他应付款”、“业务活动费用”、“单位管理费用”、“经营费用”、“其他费用”等科目及其所属明细科目的记录分析填列。","NIC001008","支付的其他与日常活动有关的现金","“支付的其他与日常活动有关的现金”项目,反映单位本年支付的除上述项目之外与日常活动有关的现金。本项目应当根据“库存现金”、“银行存款”、 “零余额账户用款额度”、 “财政拨款收入”、“其他应付款”、“业务活动费用”、“单位管理费用”、“经营费用”、“其他费用”等科目及其所属明细科目的记录分析填列。",,"INPUT","admin","2024-12-12 17:30:04.0","admin","2024-12-13 18:12:26.0"
"de9bca97-8878-4f43-aa52-2677d7773ced","NEW","INSTITUTION","INSTITUTION_INCOME_AND_EXPENSES","8","1","1","NII001006","(六)非同级财政拨款收入","revenue from fiscal appropriations at the non same level","“非同级财政拨款收入”项目,反映单位本期从非同级政府财政部门取得的财政拨款,不包括事业单位因开展科研及其辅助活动从非同级财政部门取得的经费拨款。本项目应当根据“非同级财政拨款收入”科目的本期发生额填列。","NII001006","(六)非同级财政拨款收入","“非同级财政拨款收入”项目,反映单位本期从非同级政府财政部门取得的财政拨款,不包括事业单位因开展科研及其辅助活动从非同级财政部门取得的经费拨款。本项目应当根据“非同级财政拨款收入”科目的本期发生额填列。",,"INPUT","admin","2024-12-12 17:08:26.0","admin","2024-12-13 18:08:50.0"
"e207b09e-51cb-4dd8-834e-bf1588edca90","NEW","COMPANY","COMPANY_CASH_FLOWS","3","1","1","NCC001003","收到其他与经营活动有关的现金","cash received relating to other operating activities",,"NCC001003","收到其他与经营活动有关的现金",,,"INPUT","admin","2024-12-09 18:00:48.0","admin","2024-12-13 17:41:40.0"
"e23fda88-e3ba-4088-9051-71970bc85fc2","OLD","COMPANY","COMPANY_PROFIT","15","2","1","OCI001A05","资产处置收益(损失以“-”号填列)","add income of disposal of assets","“资产处置收益”项目,反映企业出售划分为持有待售的非流动资产(金融工具、长期股权投资和投资性房地产除外)或处置组(子公司和业务除外)时确认的处置利得或损失,以及处置未划分为持有待售的固定资产、在建工程、生产性生物资产及无形资产而产生的处置利得或损失。债务重组中因处置非流动资产(金融工具、长期股权投资和投资性房地产除外)产生的利得或损失和非货币性资产交换中换出非流动资产(金融工具、长期股权投资和投资性房地产除外)产生的利得或损失也包括在本项目内。该项目应根据“资产处置损益”科目的发生额分析填列;如为处置损失,以“-”号填列。","OCI001A05","资产处置收益(损失以“-”号填列)","“资产处置收益”项目,反映企业出售划分为持有待售的非流动资产(金融工具、长期股权投资和投资性房地产除外)或处置组(子公司和业务除外)时确认的处置利得或损失,以及处置未划分为持有待售的固定资产、在建工程、生产性生物资产及无形资产而产生的处置利得或损失。债务重组中因处置非流动资产(金融工具、长期股权投资和投资性房地产除外)产生的利得或损失和非货币性资产交换中换出非流动资产(金融工具、长期股权投资和投资性房地产除外)产生的利得或损失也包括在本项目内。该项目应根据“资产处置损益”科目的发生额分析填列;如为处置损失,以“-”号填列。",,"INPUT","admin","2024-12-09 17:55:33.0","admin","2024-12-13 18:40:28.0"
"e23fda88-e3ba-4088-9051-71970bc85fc2","OLD","COMPANY","COMPANY_PROFIT","15","2","1","OCI001A05","资产处置收益(损失以“-”号填列)","add income of disposal of assets","“资产处置收益”项目,反映企业出售划分为持有待售的非流动资产(金融工具、长期股权投资和投资性房地产除外)或处置组(子公司和业务除外)时确认的处置利得或损失,以及处置未划分为持有待售的固定资产、在建工程、生产性生物资产及无形资产而产生的处置利得或损失。债务重组中因处置非流动资产(金融工具、长期股权投资和投资性房地产除外)产生的利得或损失和非货币性资产交换中换出非流动资产(金融工具、长期股权投资和投资性房地产除外)产生的利得或损失也包括在本项目内。该项目应根据“资产处置损益”科目的发生额分析填列;如为处置损失,以“-”号填列。","OCI001A05","资产处置收益(损失以“-”号填列)","“资产处置收益”项目,反映企业出售划分为持有待售的非流动资产(金融工具、长期股权投资和投资性房地产除外)或处置组(子公司和业务除外)时确认的处置利得或损失,以及处置未划分为持有待售的固定资产、在建工程、生产性生物资产及无形资产而产生的处置利得或损失。债务重组中因处置非流动资产(金融工具、长期股权投资和投资性房地产除外)产生的利得或损失和非货币性资产交换中换出非流动资产(金融工具、长期股权投资和投资性房地产除外)产生的利得或损失也包括在本项目内。该项目应根据“资产处置损益”科目的发生额分析填列;如为处置损失,以“-”号填列。",,"INPUT","admin","2024-12-09 17:55:33.0","admin","2024-12-13 18:40:28.0"
"e37c7273-8122-4ba3-8b2f-e2f922dca9ac","NEW","INSTITUTION","INSTITUTION_CASH_FLOWS","21","1","1","NIC002006","对外投资支付的现金","cash paid for foreign investment","“对外投资支付的现金”项目,反映单位本年为取得短期投资、长期股权投资、长期债券投资而支付的现金。本项目应当根据“库存现金”、“银行存款”、“短期投资”、“长期股权投资”、“长期债券投资”等科目的记录分析填列。","NIC002006","对外投资支付的现金","“对外投资支付的现金”项目,反映单位本年为取得短期投资、长期股权投资、长期债券投资而支付的现金。本项目应当根据“库存现金”、“银行存款”、“短期投资”、“长期股权投资”、“长期债券投资”等科目的记录分析填列。",,"INPUT","admin","2024-12-12 17:32:03.0","admin","2024-12-13 18:14:19.0"
"e3dc02c4-1d90-4a21-98c3-ad540257f670","OLD","COMPANY","COMPANY_LIABILITIES_AND_OWNERS_EQUITY","1","1","1","OCL001001","短期借款","short term loans",,"OCL001001","短期借款",,,"INPUT","admin","2024-12-09 16:53:33.0","admin","2024-12-13 18:34:13.0"
"e3dc02c4-1d90-4a21-98c3-ad540257f670","OLD","COMPANY","COMPANY_LIABILITIES_AND_OWNERS_EQUITY","1","1","1","OCL001001","短期借款","short term loans",,"OCL001001","短期借款",,,"INPUT","admin","2024-12-09 16:53:33.0","admin","2024-12-13 18:34:13.0"
"e4239d95-b4c6-41f4-b4d2-eddbabe7b6d2","OLD","COMPANY","COMPANY_CASH_FLOWS","7","1","1","OCC001006","支付的各项税费","taxes and fees paid",,"OCC001006","支付的各项税费",,,"INPUT","admin","2024-12-09 18:02:37.0","admin","2024-12-13 18:45:04.0"
"e4239d95-b4c6-41f4-b4d2-eddbabe7b6d2","OLD","COMPANY","COMPANY_CASH_FLOWS","7","1","1","OCC001006","支付的各项税费","taxes and fees paid",,"SX1800008","支付的各项税费",,,"INPUT","admin","2024-12-09 18:02:37.0","admin","2025-07-31 17:27:07.0"
"e461c832-b754-4041-afea-d09df0d0931a","NEW","COMPANY","COMPANY_LIABILITIES_AND_OWNERS_EQUITY","27","2","1","NCL002T","非流动负债合计","total non current liabilities",,"NCL002T","非流动负债合计",,,"INPUT","admin","2024-12-09 17:06:19.0","admin","2024-12-13 17:53:34.0"
"e461c832-b754-4041-afea-d09df0d09336","NEW","INSTITUTION","INSTITUTION_LIABILITIES_AND_NET_ASSETS","22","2","1","NIL002T","非流动负债合计","total non current liabilities","“非流动负债合计”项目,反映单位期末非流动负债合计数。本项目应当根据本表中“长期借款”、“长期应付款”、“预计负债”、“其他非流动负债”项目金额的合计数填列。","NIL002T","非流动负债合计","“非流动负债合计”项目,反映单位期末非流动负债合计数。本项目应当根据本表中“长期借款”、“长期应付款”、“预计负债”、“其他非流动负债”项目金额的合计数填列。",,"INPUT","admin","2024-12-09 17:06:19.0","admin","2024-12-13 18:04:51.0"
"e58e96fa-e682-4406-81d6-9bc2befc9b60","NEW","COMPANY","COMPANY_PROFIT","6","2","1","NCI00100104","研发费用","less research and development expenses","“研发费用”项目,反映企业进行研究与开发过程中发生的费用化支出,以及计入管理费用的自行开发无形资产的摊销。该项目应根据“管理费用”科目下的“研究费用”明细科目的发生额,以及“管理费用”科目下的“无形资产摊销”明细科目的发生额分析填列。","NCI00100104","研发费用","“研发费用”项目,反映企业进行研究与开发过程中发生的费用化支出,以及计入管理费用的自行开发无形资产的摊销。该项目应根据“管理费用”科目下的“研究费用”明细科目的发生额,以及“管理费用”科目下的“无形资产摊销”明细科目的发生额分析填列。",,"INPUT","admin","2024-12-09 17:52:17.0","admin","2024-12-13 17:36:20.0"
"e5e96d6f-7657-4cbb-8a8c-4cf8d71e89f5","NEW","COMPANY","COMPANY_LIABILITIES_AND_OWNERS_EQUITY","13","1","1","NCL001012","一年内到期的非流动负债","non current liabilities in a year",,"NCL001012","一年内到期的非流动负债",,,"INPUT","admin","2024-12-09 16:57:39.0","admin","2024-12-13 17:29:49.0"
"e69e3a1a-c6aa-4a57-9e48-ee1ed35330f1","NEW","COMPANY","COMPANY_PROFIT","30","2","1","NCI00500102","2.权益法下不能转损益的其他综合收益","other comprehensive income that cannot be converted into profit or loss under the equity method",,"NCI00500102","2.权益法下不能转损益的其他综合收益",,,"INPUT","admin","2024-12-13 15:32:45.0","admin","2024-12-13 17:39:23.0"
"e776c550-006d-4c5e-bf97-0345dcec82ee","OLD","COMPANY","COMPANY_CASH_FLOWS","37","0","1","OCC006","六、期末现金及现金等价物余额","closing cash and cash equivalents balances",,"OCC006","六、期末现金及现金等价物余额",,,"INPUT","admin","2024-12-09 18:10:16.0","admin","2024-12-13 18:43:31.0"
"e776c550-006d-4c5e-bf97-0345dcec82ee","OLD","COMPANY","COMPANY_CASH_FLOWS","37","0","1","OCC006","六、期末现金及现金等价物余额","closing cash and cash equivalents balances",,"OCC006","六、期末现金及现金等价物余额",,,"INPUT","admin","2024-12-09 18:10:16.0","admin","2024-12-13 18:43:31.0"
"e81244c5-8bb0-4790-af30-767765fcfdcd","OLD","COMPANY","COMPANY_ASSETS","35","2","1","OCA002T","非流动资产合计","total non current assets",,"OCA002T","非流动资产合计",,,"INPUT","admin","2024-12-09 17:11:45.0","admin","2024-12-13 18:30:47.0"
"e81244c5-8bb0-4790-af30-767765fcfdcd","OLD","COMPANY","COMPANY_ASSETS","35","2","1","OCA002T","非流动资产合计","total non current assets",,"OCA002T","非流动资产合计",,,"INPUT","admin","2024-12-09 17:11:45.0","admin","2024-12-13 18:30:47.0"
"e9551a4a-0e01-4081-8a5d-b6447c1bddf0","NEW","COMPANY","COMPANY_PROFIT","27","0","1","NCI005","五、其他综合收益的税后净额","net after tax on other comprehensive income",,"NCI005","五、其他综合收益的税后净额",,,"INPUT","admin","2024-12-09 17:58:12.0","admin","2024-12-13 17:34:46.0"
"ea192358-203b-40fd-b330-5033034da1f0","NEW","COMPANY","COMPANY_CASH_FLOWS","1","1","1","NCC001001","销售商品、提供劳务收到的现金","cash received from sales of goods or rendering of services",,"NCC001001","销售商品、提供劳务收到的现金",,,"INPUT","admin","2024-12-09 18:00:30.0","admin","2024-12-13 17:41:31.0"
"eb363c79-f083-43fd-a6f8-5100a7117659","OLD","COMPANY","COMPANY_CASH_FLOWS","8","1","1","OCC001007","支付其他与经营活动有关的现金","payment of other cash related to operating activities",,"SX1800009","支付其他与经营活动有关的现金",,,"INPUT","admin","2024-12-09 18:02:49.0","admin","2025-07-31 17:27:16.0"
"eb363c79-f083-43fd-a6f8-5100a7117659","OLD","COMPANY","COMPANY_CASH_FLOWS","8","1","1","OCC001007","支付其他与经营活动有关的现金","payment of other cash related to operating activities",,"OCC001007","支付其他与经营活动有关的现金",,,"INPUT","admin","2024-12-09 18:02:49.0","admin","2024-12-13 18:45:08.0"
"ec90da86-acce-4c60-a814-1b7c8cc3ce16","NEW","INSTITUTION","INSTITUTION_CASH_FLOWS","29","1","1","NIC003003","收到的其他与筹资活动有关的现金","other cash received in connection with fund raising activities","“收到的其他与筹资活动有关的现金”项目,反映单位本年收到的除上述项目之外与筹资活动有关的现金。对于金额较大的现金流入,应当单列项目反映。本项目应当根据“库存现金”、“银行存款”等有关科目的记录分析填列。","NIC003003","收到的其他与筹资活动有关的现金","“收到的其他与筹资活动有关的现金”项目,反映单位本年收到的除上述项目之外与筹资活动有关的现金。对于金额较大的现金流入,应当单列项目反映。本项目应当根据“库存现金”、“银行存款”等有关科目的记录分析填列。",,"INPUT","admin","2024-12-12 17:33:33.0","admin","2024-12-13 18:19:35.0"
"f009963d-5af1-4a11-beb2-62e49673bc05","OLD","COMPANY","COMPANY_ASSETS","25","1","1","OCA002007","在建工程","construction in progress","“在建工程”项目,反映资产负债表日企业尚未达到预定可使用状态的在建工程的期末账面价值和企业为在建工程准备的各种物资的期末账面价值。该项目应根据“在建工程”科目的期末余额,减去“在建工程减值准备”科目的期末余额后的金额,以及“工程物资”科目的期末余额,减去“工程物资减值准备”科目的期末余额后的金额填列。","SZ1800027","在建工程","“在建工程”项目,反映资产负债表日企业尚未达到预定可使用状态的在建工程的期末账面价值和企业为在建工程准备的各种物资的期末账面价值。该项目应根据“在建工程”科目的期末余额,减去“在建工程减值准备”科目的期末余额后的金额,以及“工程物资”科目的期末余额,减去“工程物资减值准备”科目的期末余额后的金额填列。",,"INPUT","admin","2024-12-09 17:05:01.0","admin","2025-07-31 17:20:51.0"
"ee36a185-797f-4f1f-861c-a8c1ad1d7074","NEW","INSTITUTION","INSTITUTION_CASH_FLOWS","2","1","1","NIC001001","财政基本支出拨款收到的现金","cash received from the appropriation of basic financial expenditures","“财政基本支出拨款收到的现金”项目,反映单位本年接受财政基本支出拨款取得的现金。本项目应当根据“零余额账户用款额度”、“财政拨款收入”、“银行存款”等科目及其所属明细科目的记录分析填列。","NIC001001","财政基本支出拨款收到的现金","“财政基本支出拨款收到的现金”项目,反映单位本年接受财政基本支出拨款取得的现金。本项目应当根据“零余额账户用款额度”、“财政拨款收入”、“银行存款”等科目及其所属明细科目的记录分析填列。",,"INPUT","admin","2024-12-12 17:23:58.0","admin","2024-12-13 18:11:21.0"
"f009963d-5af1-4a11-beb2-62e49673bc05","OLD","COMPANY","COMPANY_ASSETS","25","1","1","OCA002007","在建工程","construction in progress","“在建工程”项目,反映资产负债表日企业尚未达到预定可使用状态的在建工程的期末账面价值和企业为在建工程准备的各种物资的期末账面价值。该项目应根据“在建工程”科目的期末余额,减去“在建工程减值准备”科目的期末余额后的金额,以及“工程物资”科目的期末余额,减去“工程物资减值准备”科目的期末余额后的金额填列。","OCA002007","在建工程","“在建工程”项目,反映资产负债表日企业尚未达到预定可使用状态的在建工程的期末账面价值和企业为在建工程准备的各种物资的期末账面价值。该项目应根据“在建工程”科目的期末余额,减去“在建工程减值准备”科目的期末余额后的金额,以及“工程物资”科目的期末余额,减去“工程物资减值准备”科目的期末余额后的金额填列。",,"INPUT","admin","2024-12-09 17:05:01.0","admin","2024-12-13 18:30:07.0"
"f1243c40-4f80-40b3-936f-7b0b73b10d5e","OLD","COMPANY","COMPANY_PROFIT","31","2","1","OCI00500203","3.持有至到期投资重分类为可供出售金融资产损益","held to maturity investments are reclassified as gains or losses on available for sale financial assets",,"OCI00500203","3.持有至到期投资重分类为可供出售金融资产损益",,,"INPUT","admin","2024-12-13 15:00:14.0","admin","2024-12-13 18:42:00.0"
"f1243c40-4f80-40b3-936f-7b0b73b10d5e","OLD","COMPANY","COMPANY_PROFIT","31","2","1","OCI00500203","3.持有至到期投资重分类为可供出售金融资产损益","held to maturity investments are reclassified as gains or losses on available for sale financial assets",,"OCI00500203","3.持有至到期投资重分类为可供出售金融资产损益",,,"INPUT","admin","2024-12-13 15:00:14.0","admin","2024-12-13 18:42:00.0"
"f29faada-378b-4ff5-a52e-1c4fd1d56a4c","OLD","COMPANY","COMPANY_PROFIT","12","3","1","OCI001A0201","其中:对联营企业和合营企业的投资收益","including income on investment in associates and joint ventures",,"OCI001A0201","其中:对联营企业和合营企业的投资收益",,,"INPUT","admin","2024-12-09 17:53:44.0","admin","2024-12-13 18:40:15.0"
"f29faada-378b-4ff5-a52e-1c4fd1d56a4c","OLD","COMPANY","COMPANY_PROFIT","12","3","1","OCI001A0201","其中:对联营企业和合营企业的投资收益","including income on investment in associates and joint ventures",,"OCI001A0201","其中:对联营企业和合营企业的投资收益",,,"INPUT","admin","2024-12-09 17:53:44.0","admin","2024-12-13 18:40:15.0"
"f3297f3e-2583-4974-a6da-2133d13302ea","NEW","COMPANY","COMPANY_PROFIT","31","2","1","NCI00500103","3.其他权益工具投资公允价值变动","changes in the fair value of investments in other equity instruments","“其他债权投资公允价值变动”项目,反映企业分类为以公允价值计量且其变动计入其他综合收益的债权投资发生的公允价值变动。企业将一项以公允价值计量且其变动计入其他综合收益的金融资产重分类为以摊余成本计量的金融资产,或重分类为以公允价值计量且其变动计入当期损益的金融资产时,之前计入其他综合收益的累计利得或损失从其他综合收益中转出的金额作为该项目的减项。该项目应根据“其他综合收益”科目下的相关明细科目的发生额分析填列。","NCI00500103","3.其他权益工具投资公允价值变动","“其他债权投资公允价值变动”项目,反映企业分类为以公允价值计量且其变动计入其他综合收益的债权投资发生的公允价值变动。企业将一项以公允价值计量且其变动计入其他综合收益的金融资产重分类为以摊余成本计量的金融资产,或重分类为以公允价值计量且其变动计入当期损益的金融资产时,之前计入其他综合收益的累计利得或损失从其他综合收益中转出的金额作为该项目的减项。该项目应根据“其他综合收益”科目下的相关明细科目的发生额分析填列。",,"INPUT","admin","2024-12-13 15:32:59.0","admin","2024-12-13 17:39:27.0"
"f556e26f-790f-4748-b473-26809ddb68a0","OLD","COMPANY","COMPANY_CASH_FLOWS","23","3","1","OCC002T","投资活动产生的现金流量净额","net cash flow from investing activities",,"OCC002T","投资活动产生的现金流量净额",,,"INPUT","admin","2024-12-09 18:06:19.0","admin","2024-12-13 18:46:48.0"
"f556e26f-790f-4748-b473-26809ddb68a0","OLD","COMPANY","COMPANY_CASH_FLOWS","23","3","1","OCC002T","投资活动产生的现金流量净额","net cash flow from investing activities",,"SX1800022","投资活动产生的现金流量净额",,,"INPUT","admin","2024-12-09 18:06:19.0","admin","2025-07-31 17:29:42.0"
"f87e9f66-1b60-410d-926f-f94299be6bd3","OLD","COMPANY","COMPANY_ASSETS","15","1","1","OCA002001","可供出售金融资产","available for sale financial assets",,"OCA002001","可供出售金融资产",,,"INPUT","admin","2024-12-13 14:47:18.0","admin","2024-12-13 18:29:46.0"
"f87e9f66-1b60-410d-926f-f94299be6bd3","OLD","COMPANY","COMPANY_ASSETS","15","1","1","OCA002001","可供出售金融资产","available for sale financial assets",,"OCA002001","可供出售金融资产",,,"INPUT","admin","2024-12-13 14:47:18.0","admin","2024-12-13 18:29:46.0"
"f9a001f0-9df6-42b2-8c3f-46c039949442","NEW","COMPANY","COMPANY_PROFIT","11","2","1","NCI00100201","投资收益(损失以“-”号填列)","add income on investment",,"NCI00100201","投资收益(损失以“-”号填列)",,,"INPUT","admin","2024-12-09 17:53:29.0","admin","2024-12-13 17:37:16.0"
"fa660eed-da35-49d1-920f-c0bfcb692f1f","NEW","COMPANY","COMPANY_CASH_FLOWS","5","1","1","NCC001004","购买商品、接受劳务支付的现金","cash for the purchase of goods and payment for services",,"NCC001004","购买商品、接受劳务支付的现金",,,"INPUT","admin","2024-12-09 18:02:18.0","admin","2024-12-13 17:41:57.0"
"fee240a6-20d5-40be-bc04-898d516485ae","OLD","COMPANY","COMPANY_PROFIT","6","2","1","OCI001L05","研发费用","less research and development expenses","“研发费用”项目,反映企业进行研究与开发过程中发生的费用化支出,以及计入管理费用的自行开发无形资产的摊销。该项目应根据“管理费用”科目下的“研究费用”明细科目的发生额,以及“管理费用”科目下的“无形资产摊销”明细科目的发生额分析填列。","OCI001L05","研发费用","“研发费用”项目,反映企业进行研究与开发过程中发生的费用化支出,以及计入管理费用的自行开发无形资产的摊销。该项目应根据“管理费用”科目下的“研究费用”明细科目的发生额,以及“管理费用”科目下的“无形资产摊销”明细科目的发生额分析填列。",,"INPUT","admin","2024-12-09 17:52:17.0","admin","2024-12-13 18:39:31.0"
"fee240a6-20d5-40be-bc04-898d516485ae","OLD","COMPANY","COMPANY_PROFIT","6","2","1","OCI001L05","研发费用","less research and development expenses","“研发费用”项目,反映企业进行研究与开发过程中发生的费用化支出,以及计入管理费用的自行开发无形资产的摊销。该项目应根据“管理费用”科目下的“研究费用”明细科目的发生额,以及“管理费用”科目下的“无形资产摊销”明细科目的发生额分析填列。","OCI001L05","研发费用","“研发费用”项目,反映企业进行研究与开发过程中发生的费用化支出,以及计入管理费用的自行开发无形资产的摊销。该项目应根据“管理费用”科目下的“研究费用”明细科目的发生额,以及“管理费用”科目下的“无形资产摊销”明细科目的发生额分析填列。",,"INPUT","admin","2024-12-09 17:52:17.0","admin","2024-12-13 18:39:31.0"