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中山公用:2023年度财务决算报告

公告日期:2024-04-27

中山公用:2023年度财务决算报告 PDF查看PDF原文

        中山公用事业集团股份有限公司

            2023 年度财务决算报告

      中山公用事业集团股份有限公司(以下简称“公司”、“中山公用”)2023 年度财
  务报表及相关报表附注已经中审众环会计师事务所(特殊普通合伙)审计,并出具了标准
  无保留意见的审计报告。现将公司(合并)2023 年度财务决算的相关情况汇报如下:

      一、2023 年度公司主要财务指标

                                                                    单位:万元

                                                        本年

                                    2022 年            比上年            2021 年

              2023 年                                    增减

                            调整前        调整后      调整后      调整前        调整后

营业收入      519,899.05    361,923.00    361,923.00  43.65%    237,068.84    237,068.84

归属于上市

公司股东的    96,728.48    107,206.01    107,229.11  -9.79%    146,564.45    146,568.77
净利润
归属于上市
公司股东的

扣除非经常    91,310.42    105,667.54    105,690.64  -13.61%    146,182.66    146,186.97
性损益的净
利润
经营活动产

生的现金流    60,419.11    30,185.50    30,185.50  100.16%    51,882.28    51,882.28
量净额

基本每股收          0.66          0.73          0.73  -9.59%          0.99          0.99
益(元/股)

稀释每股收          0.66          0.73          0.73  -9.59%          0.99          0.99
益(元/股)

加权平均净        6.05%        6.97%        6.97%  -0.92%        10.06%        10.06%
资产收益率

                                                        本年末

              2023 年末            2022 年末            比上年            2021 年末

                                                        末增减


                            调整前        调整后      调整后      调整前        调整后

总资产      2,900,698.06  2,549,465.25  2,549,947.58  13.76%  2,249,064.21  2,249,615.69

归属于上市

公司股东的  1,637,767.91  1,567,332.64  1,567,351.42    4.49%  1,514,197.15  1,514,192.84
净资产

      二、财务状况、经营状况和现金流量情况分析

      (一)财务状况分析

                                                                    单位:万元

        项  目          2023 年 12 月 31 日  2023 年 1 月 1 日      增减额        增长率

 流动资产                        460,160.46        413,738.77    46,421.69        11.22%

 非流动资产                    2,440,537.59      2,136,208.81    304,328.78        14.25%

 资产总额                      2,900,698.06      2,549,947.58    350,750.48        13.76%

 流动负债                        795,730.60        659,134.92    136,595.68        20.72%

 非流动负债                      439,473.46        294,945.91    144,527.55        49.00%

 负债总额                      1,235,204.06        954,080.83    281,123.23        29.47%

 归属于上市公司股东权益        1,637,767.91      1,567,351.42    70,416.49        4.49%

 少数股东权益                    27,726.09        28,515.33      -789.24        -2.77%

 股东权益合计                  1,665,493.99      1,595,866.75    69,627.24        4.36%

      1.资产总额 2,900,698.06 万元,比年初增加 350,750.48 万元,增长 13.76%,其中:
      (1)流动资产增加 46,421.69 万元,主要是随着业务规模增长,应收账款、预付账
  款及合同资产增加;

      (2)非流动资产增加 304,328.78 万元,主要是厂网一体化项目建设,适用金融资产
  模式,其他非流动资产增加;水务公司管网建设,增加固定资产及在建工程;权益法下核
  算的投资损益增加,长期股权投资增加。

      2.负债总额 1,235,204.06 万元,比年初增加 281,123.23 万元,增长 29.47%,其中:
      (1)流动负债增加 136,595.68 万元,主要是随着业务规模增长,应付账款及合同负
  债增加;

      (2)非流动负债增加 144,527.55 万元,主要是项目建设、资产投资等,长期借款、

  应付债券增加。

      3.归属于上市公司股东权益 1,637,767.91 万元,比年初增加 70,416.49 万元,增长
  4.49%,主要是本年实现归属于上市公司股东的净利润、其他综合收益和分配股息红利所
  致。

      (二)经营状况分析

                                                                  单位:万元

        项  目              2023 年            2022 年          增减额        增长率

 营业收入                        519,899.05        361,923.00    157,976.05        43.65%

 营业成本                        415,092.37        288,349.66    126,742.71        43.95%

 税金及附加                        3,879.98          2,270.26      1,609.72        70.90%

 期间费用                          69,113.38        50,588.50    18,524.88        36.62%

 其他收益                          4,477.45          2,656.87      1,820.58        68.52%

 投资收益                          72,181.56        88,580.87    -16,399.31      -18.51%

 营业利润                        106,449.72        110,981.30    -4,531.58        -4.08%

 所得税费用                        8,375.97          5,361.58      3,014.39        56.22%

 归属于上市公司股东净利润          96,728.48        107,229.11    -10,500.63        -9.79%

      1.营业收入构成

                                                                  单位:万元

                              2023 年                      2022 年

                                                                                  同比增减
                        金额          占比          金额          占比

营业收入合计          519,899.05        100.00%    361,923.00        100.00%        43.65%

分行业

水务板块              133,814.92        25.74%    107,726.62        29.77%        24.22%

固废板块                57,788.03        11.12%      52,769.62        14.58%          9.51%

新能源板块                588.22          0.11%              -          0.00%        100.00%

工程板块              274,706.91        52.84%    163,702.06        45.23%        67.81%

辅助业务板块            53,000.97        10.19%      37,724.70        10.42%        40.49%

      2.费用情况


                                                               
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