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英洛华:2023年度财务决算报告

公告日期:2024-03-15

英洛华:2023年度财务决算报告 PDF查看PDF原文

              英洛华科技股份有限公司

              2023年度财务决算报告

    英洛华科技股份有限公司(下称“英洛华”或“公司”)2023 年度财务报表
已经和信会计师事务所(特殊普通合伙)审计,并出具了和信审字(2024)第000147 号标准无保留意见的审计报告。审计意见为:英洛华财务报表在所有重
大方面按照企业会计准则的规定编制,公允反映了英洛华 2023 年 12 月 31 日合
并及公司的财务状况以及 2023 年度合并及公司的经营成果和合并及公司的现金流量。

    现将公司经审计确认后的年度财务状况报告如下(金额:元):

    一、  报告期公司的主要财务数据和指标

            项目                    2023 年          2022 年      增减幅度

营业收入(元)                  3,848,857,904.23  4,732,204,938.46  -18.67%

归属于上市公司股东的净利润          86,712,195.70    258,542,665.81  -66.46%
(元)

归属于上市公司股东的扣除非经常    125,513,341.91    212,405,313.82  -40.91%
性损益的净利润(元)

经营活动产生的现金流量净额        427,735,987.90    64,834,632.71  559.73%
(元)

基本每股收益(元/股)                      0.0776            0.2287  -66.07%

稀释每股收益(元/股)                      0.0776            0.2287  -66.07%

加权平均净资产收益率                        3.26%            9.99%  -6.73%

            项目                  2023 年末          2022 年末      增减幅度

总资产(元)                    4,187,036,597.49  4,954,433,538.25  -15.49%

归属于上市公司股东的净资产      2,621,702,294.45  2,702,176,590.93  -2.98%
(元)

资产负债率                                37.17%            44.93%  -7.76%

    二、报告期内公司财务状况、经营成果与现金流量情况

    (一)主要资产情况

      项目              2023.12.31            2022.12.31        增减幅度

货币资金                  796,705,593.13        843,027,261.45        -5.49%

应收票据                  79,165,812.21        20,182,463.93      292.25%

应收账款                  942,419,513.11      1,170,108,922.18      -19.46%

应收款项融资              68,320,727.00        112,099,961.65      -39.05%

存货                      763,020,432.31        943,365,389.99      -19.12%

其他流动资产              464,947,160.14        644,124,886.45      -27.82%

流动资产合计            3,166,960,000.51      3,920,308,743.48      -19.22%


      项目              2023.12.31            2022.12.31        增减幅度

固定资产                  778,156,272.78        776,748,177.36        0.18%

无形资产                  120,194,025.64        131,076,939.33        -8.30%

非流动资产合计          1,020,076,596.98      1,034,124,794.77        -1.36%

资产总计                4,187,036,597.49      4,954,433,538.25      -15.49%

    说明:

    应收票据期末比期初增加 292.25%,主要是由于公司收到的商业承兑汇票期
末未到期额增加所致;

    应收款项融资期末比期初减少 39.05%,主要是由于公司期末库存银行承兑
汇票减少所致;

    其他流动资产期末比期初减少 27.82%,主要是公司持有的大额存单本报告
期到期致该项目减少;

    (二)主要负债情况

          项目              2023.12.31        2022.12.31      增减幅度

 短期借款                    642,915,352.28  1,167,867,423.71      -44.95%

 应付账款                    501,430,058.54    611,227,377.91      -17.96%

 应付职工薪酬                123,117,824.66    106,238,118.60      15.89%

 流动负债合计              1,487,138,863.33  2,093,757,061.80      -28.97%

 非流动负债合计                69,260,462.12    132,349,319.43      -47.67%

 负债合计                  1,556,399,325.45  2,226,106,381.23      -30.08%

    说明:

    短期借款期末比期初减少 44.95%,主要是由于公司本报告期现金流较充裕,
归还了部分银行借款所致;

    (三)所有者权益情况

            项目              2023.12.31        2022.12.31      增减幅度

  股本                      1,133,684,103.00  1,133,684,103.00        0.00%

  资本公积                  1,002,682,861.69  1,060,664,925.34      -5.47%

  减:库存股                  119,868,493.51    100,078,331.51      19.77%

  其他综合收益                    117,021.91

  盈余公积                      60,779,618.00      47,940,325.35      26.78%

  未分配利润                  544,307,183.36    559,965,568.75      -2.80%

  归属于母公司股东权益合计  2,621,702,294.45  2,702,176,590.93      -2.98%

  少数股东权益                  8,934,977.59      26,150,566.09      -65.83%

  股东权益合计              2,630,637,272.04  2,728,327,157.02      -3.58%

  负债和股东权益总计        4,187,036,597.49  4,954,433,538.25      -15.49%

    说明:

    少数股东权益期末比期初减少 65.83%,主要是由于公司本报告期购买少数
股东持有的“英洛华康复” 30%股权、持有的“碳纤制品”30%股权所致。

    (四)经营成果情况

            项目                  2023 年度        2022 年度      同比增减

一、营业收入                  3,848,857,904.23  4,732,204,938.46    -18.67%

二、减:营业成本              3,149,621,536.69  3,869,295,893.21    -18.60%

      税金及附加                15,302,881.59    17,758,042.86    -13.83%

      销售费用                  98,396,248.83    114,643,521.43    -14.17%

      管理费用                178,164,355.04    203,568,012.17    -12.48%

      研发费用                183,464,424.77    223,025,439.54    -17.74%

      财务费用                -12,470,910.60    -12,807,719.33    -2.63%

    加:其他收益                81,695,595.88    55,873,043.82    46.22%

      投资收益                -99,179,163.73    -7,356,834.79

      公允价值变动收益          -2,681,767.53        990,720.43  -370.69%

      信用减值损失              4,908,757.90    -3,577,540.91

      资产减值损失            -119,095,908.78    -93,369,775.19

      资产处置收益              6,479,045.14      -237,854.65

三、营业利润                    108,505,926.79    269,043,507.29    -59.67%

    加:营业外收入                4,061,959.98        722,323.70    462.35%

    减:营业外支出                4,731,118.00      1,598,968.04    195.89%

四、利润总额                    107,836,768.77    268,166,862.95    -59.79%

    减:所得税费用              15,625,676.14    26,636,385.79    -41.34%

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