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钱江摩托:2023年度财务决算报告

公告日期:2024-04-18

钱江摩托:2023年度财务决算报告 PDF查看PDF原文

                  浙江钱江摩托股份有限公司

                    2023 年度财务决算报告

      2023 年公司财务报表及相关报表附注已经大信会计师事务所(特殊普通合

  伙)审计,并出具了标准无保留意见的审计报告。认为公司财务报表在所有重大

  方面按照企业会计准则的规定编制,公允反映了公司 2023 年 12 月 31 日的合

  并及母公司财务状况以及 2023 年度的合并及母公司经营成果和现金流量。

      一、2023 年度主要会计数据

                                      2022 年              本年比上年            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    5,097,767,420.7  5,648,386,708.4  5,648,386,708.4        -9.75%  4,309,449,518.3  4,309,449,518
(元)                  8              1              1                            4          .34

归属于上市                                                                                237,608,009.8
公司股东的  464,022,361.44  417,674,854.39  415,541,289.18        11.67%  237,608,009.89            9
净利润(( 元)
归属于上市

公司股东的                                                                                191,245,171.4
扣除非经常  384,018,050.19  394,746,554.47  397,137,097.25        -3.30%  185,319,554.06            4
性损益的净
利润(元)

经营活动产                  1,040,654,168.4  1,040,654,168.4                                207,487,670.4
生的现金流  591,023,302.52              3              3      -43.21%  207,487,670.43            3
量净额(( 元)

基本每股收          0.8806          0.9209          0.9162        -3.89%          0.5239        0.5239
益(元/股)

稀释每股收          0.8806          0.9159          0.9112        -3.36%          0.5239        0.5239
益(元/股)

加权平均净        11.20%        12.98%        12.92%        -1.72%          8.29%        8.29%
资产收益率

                                      2022 年末            本年末比上            2021 年末

              2023 年末                                      年末增减

                                调整前        调整后        调整后        调整前        调整后

总资产(( 元) 8,465,106,236.9  6,734,502,870.4  6,735,055,530.9        25.69%  5,114,303,194.8  5,114,303,194
                        4              3              8                            8          .88

归属于上市  4,435,069,506.7  3,495,449,852.8  3,493,316,287.6                2,994,304,667.4  2,994,304,667
公司股东的              7              3              2        26.96%              4          .44
净资产(( 元)

  二、财务状况、经营成果和现金流量情况分析

      (一) 资产主要构成及变动情况

  项      目      2023 年 12 月 31 日    占总资产比例  2023 年 1 月 1 日  占总资产比例  同比增减(%)

货币资金                4,605,255,604.03        54.40%    2,794,979,172.02        41.50%        64.77%

应收票据                  13,560,960.55          0.16%      17,585,057.48        0.26%      -22.88%

应收账款                  380,606,825.43          4.50%    452,081,535.54        6.71%      -15.81%

应收款项融资                2,745,496.00          0.03%      8,869,985.13        0.13%      -69.05%

预付款项                  25,341,406.28          0.30%      61,015,809.28        0.91%      -58.47%

其他应收款                55,465,106.76          0.66%      50,623,594.23        0.75%        9.56%

存货                    1,209,533,609.14        14.29%    1,251,155,950.48        18.58%        -3.33%

其他流动资产              26,105,171.47          0.31%      80,937,674.94        1.20%      -67.75%

长期股权投资              164,394,763.86          1.94%    185,031,330.79        2.75%        -11.15%

其他非流动金融资

产                        70,664,501.63          0.83%      99,026,844.25        1.47%      -28.64%

固定资产                1,108,403,113.16        13.09%    1,053,254,885.20        15.64%        5.24%

在建工程                  205,698,765.52          2.43%      31,370,120.44        0.47%      555.72%

使用权资产                14,824,108.97          0.18%      27,979,668.53        0.42%      -47.02%

无形资产                  350,110,161.60          4.14%    362,952,179.73        5.39%        -3.54%

长期待摊费用              32,878,612.46          0.39%      29,098,025.46        0.43%        12.99%

递延所得税资产            194,148,900.68          2.29%    162,143,788.15        2.41%        19.74%

其他非流动资产              5,369,129.40          0.06%      66,949,909.33        0.99%      -91.98%

资产总计                8,465,106,236.94        100.00%    6,735,055,530.98      100.00%        25.69%

      资产变动较大项目原因分析:

      1、货币资金比年初增加 64.77%,主要原因系报告期经营活动、投资活动、
  筹资活动产生的现金净流量增加所致。

      2、应收账款融资比年初减少 69.05%,主要原因系本报告期持有的应收票据

  中风险低、信用高的银行承兑汇票比年初减少所致。

      3、预付款项比年初减少 58.47%,主要原因系报告期预付外购原材料货款减

  少所致。

      4、其他流动资产比年初减少 67.75%,主要原因系报告期增值税留底税额比

  年初减少所致。

      5、在建工程比年初增加 555.72%,主要原因系报告期基建工程投入增加所

  致。

      6、使用权资产比年初减少 47.02%,主要原因系报告期租赁房屋及建筑物减

  少以及计提折旧摊销所致。


        7、其他非流动资产比年初减少 91.98%,主要原因系报告期购置长期资产预

    付减少所致。

        (二) 负债主要构成及变动情况

      项      目        2023 年 12 月 31 日    占总负债比例  2023 年 1 月1 日  占总负债比例  同比增减(%)

短期借款                    13,134,964.09          0.33%                          0.00%        不适用

应付票据                  1,346,009,354.70          33.49%  1,199,656,000.00        37.22%        12.20%

应付账款                  1,002,759,622.30          24.95%  1,011,233,938.49        31.38%        -0.84%

合同负债  
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