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首页 公告 *ST西发:2023年度财务决算报告

*ST西发:2023年度财务决算报告

公告日期:2024-04-27

*ST西发:2023年度财务决算报告 PDF查看PDF原文

                    西藏发展股份有限公司

                    2023 年度财务决算报告

  西藏发展股份有限公司(以下简称“公司”),2023 年度财务报告已经中
兴财光华会计师事务所(特殊普通合伙)审计,现将 2023 年财务决算报告
如下:

    一、主要经营情况

  2023 年度,公司全年实现营业收入 33,688.37 万元与 2022 年同期比较

收入增加 21.64%,归属于上市公司股东的净利润-2,577.33 万元,与 2022
年同期比较增加 67.35%,扣除非经常性损益后归属上市公司股东净利润为-
423.16 万元,与 2022 年同期比较增加 92.64%。

  二、 公司报告期主要会计数据和财务指标(单位:元)

  (一)主要财务状况(单位:元)

                                    2022 年                          本年比      2021 年

                    2023 年                                      上年增减

                                    调整前          调整后          调整后      调整前        调整后

    营业收入

 (元)        336,883,697.71  276,940,562.41    276,940,562.41        21.64%  392,849,194.82  392,849,194.82

    归属于上

 市公司股东的  -25,773,250.02    -65,965,984.94    -78,933,484.94        67.35%  -14,372,990.07  -16,534,240.07
 净利润(元)

    归属于上
 市公司股东的

 扣除非经常性      -839,244.05  -44,559,782.50    -57,527,282.50        98.54%  -151,873.25      -2,313,123.25
 损益的净利润
 (元)

    经营活动

 产生的现金流  87,919,051.05    98,811,214.91    98,811,214.91      -11.02%  36,168,129.96    36,168,129.96
 量净额(元)

    基本每股

 收益(元/          -0.0977          -0.25              -0.2993      67.36%      -0.05          -0.06

 股)

    稀释每股

 收益(元/          -0.0977          -0.25              -0.2993        67.36%      -0.05          -0.06

 股)


      加权平均      不适用                          不适用          不适用

  净资产收益率                      -2,996.98%                                    -33.92%        -47.50%

                                                                      本年末

                    2023 年末      2022 年末                    比上年末增      2021 年末

                                                                  减

                                    调整前          调整后          调整后      调整前        调整后

  总资产(元)  926,558,573.00  853,688,445.44    905,463,445.44        2.33%  909,239,979.41  986,949,979.41

      归属于上

  市公司股东的  111,613,159.83  -30,781,910.90      -52,394,410.90    313.02%  35,184,074.04    26,539,074.04
  净资产(元)

  (二)收入

                      2023 年                            2022 年

                                        占营业收入                          占营业收入      同比增减

                      金额          比重                金额          比重

  营业收入合

计                    336,883,697.71      100%          276,940,562.41      100%            21.64%

  分行业

  主营啤酒          336,027,023.02      99.75%          276,465,962.41      99.83%          21.54%

  其他业务          856,674.69        0.25%          474,600.00          0.17%            80.50%

  分产品

  普通瓶装啤

酒 628ml*12          206,532,808.11      61.31%          161,280,039.87      58.24%          28.06%

  绿色听装啤

酒 355ml*24          104,302,712.63      30.96%          106,821,821.67      38.57%          -2.36%

  小瓶啤酒

“3650”              22,958,758.91      6.82%          8,364,100.87        3.02%            174.49%

330ml*24

  青稞啤酒

                      2,232,743.37        0.66%

330ml*24

  啤酒合计          336,027,023.02      99.75%          276,465,962.41      99.83%          -0.08%

  酒糟              846,000.00        0.25%          474,600.00          0.17%            78.26%

  原辅料            10,674.69          0.00%

  分地区

  西藏自治区        336,883,697.71      100.00%        276,423,465.06      99.81%          21.87%

  内地                                                517,097.35          0.19%            -100.00%

  分销售模式

  直营              422,596.46        0.13%          17,947,013.25        6.48%            -97.65%


  经销商            336,461,101.25      99.87%          258,993,549.16      93.52%          29.91%

  (三)成本

                    2023 年度                              2022 年度                          同比增

    项目                              占营业成本比                        占营业成本比  减

                    金额          重                      金额        重

    人工费          28,204,567.26      11.98%          23,839,134.84        10.12%            1.85%

    原材料          171,924,711.85      73.00%        88,087,722.96        37.41%            35.59%

    折旧            15,718,552.30      6.67%          13,622,281.79        5.79%            0.89%

    动力能耗        16,987,796.51      7.21%          11,813,133.36        5.02%            2.20%

    外购成本        301,910.27        0.13%          95,936,251.69        40.74%            -40.62%

    其他            2,365,623.68        1.00%          2,165,628.67          0.92%            0.08%

    合计          235,503,161.88        100.00%        235,464,153.31        100.00%

  (四)费用

                        2023 年            2022 年                同比增减              重大变动说明

    销售费用          7,374,466.78        7,621,334.72            -3.24%

                                                                                        报告期公司因破
    管理费用                                                                        产重整费用大幅增加
                        41,255,167.89      21,520,197.05          91.70%            导致管理费用同
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