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ST中利:2023年度财务决算报告

公告日期:2024-04-24

ST中利:2023年度财务决算报告 PDF查看PDF原文

                    江苏中利集团股份有限公司

                      2023 年度财务决算报告

          江苏中利集团股份有限公司(以下简称“公司”)2023 年度报表已经

      苏亚金诚会计师事务所(特殊普通合伙)审计,苏亚金诚会计师事务所(特

      殊普通合伙)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。现将公司 2023 年度财务

      决算情况报告如下(如无特别说明,本报告所有表格中的金额单位为人民

      币元):

          一、主要会计数据和财务指标

          财政部于 2022 年 11 月 30 日发布《企业会计准则解释第 16 号》(财

      会[2022]31 号,以下简称“解释 16 号”),其中“关于单项交易产生的资

      产和负债相关的递延所得税不适用初始确认豁免的会计处理”内容自 2023

      年 1 月 1 日起施行。对于因适用解释 16 号的单项交易,确认租赁负债和

      使用权资产而产生的应纳税暂时性差异和可抵扣暂时性差异,公司按照解

      释 16 号和《企业会计准则第 18 号——所得税》的规定进行追溯,将累积

      影响数调整财务报表列报最早期间的期初留存收益及其他相关财务报表

      项目。相关数据经追溯调整后如下:

                                                                  本年比

                  2023 年                  2022 年                上年增              2021 年

                                                                    减

                                  调整前          调整后      调整后      调整前          调整后

营业收入(元)  4,051,283,736  8,165,891,813.  8,165,891,813.  -50.39%  10,381,623,5  10,381,623,530
                          .03              89              89                    30.23            .23

归属于上市公              -                -                -        -              -              -
司股东的净利  1,496,533,239  485,005,704.37  475,578,383.85  214.68%  4,188,446,09  4,188,446,098.
润(元)                  .05                                                        8.15              15

归属于上市公              -                                                          -              -
司股东的扣除  1,302,800,824                -                -  -74.36%  2,832,101,76  2,832,101,769.
非经常性损益            .40  756,611,200.73  747,183,880.21                    9.39              39
的净利润(元)

经营活动产生  289,661,826.8                                                1,094,079,37  1,094,079,372.
的现金流量净              7  387,179,858.18  387,179,858.18  -25.19%          2.44              44
额(元)


基本每股收益          -1.72            -0.56            -0.55        -          -4.81          -4.81
(元/股)                                                          212.73%

稀释每股收益          -1.72            -0.56            -0.55        -          -4.81          -4.81
(元/股)                                                          212.73%

加权平均净资          -6.71%          -39.82%          -39.04%    32.33%      -110.24%        -110.24%
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(元)    7,712,405,206  9,551,696,520.  9,602,418,552.  -19.68%  13,538,800,6  13,538,800,690
                          .77              78              28                    90.38            .38

归属于上市公              -                    1,004,359,482.        -  1,446,080,88  1,446,080,885.
司股东的净资  558,303,262.4  990,019,816.73              86  155.59%          5.98              98
产(元)                    6

          二、2023 年度财务状况、经营成果和现金流量情况

          (一)资产构成及变动情况

                        2023 年末                      2023 年初              比重增减    重大变动说明
                    金额      占总资产比例      金额      占总资产比例

 货币资金        704,975,286.          9.14%  756,500,920.          7.88%          1.26%

                          40                            62

 应收账款        944,281,300.        12.24%  1,409,729,54        14.68%        -2.44%

                          16                          5.11

 存货            883,888,101.        11.46%  1,016,002,19        10.58%          0.88%

                          21                          1.34

 长期股权投资    14,158,288.3          0.18%  25,127,153.2          0.26%        -0.08%

                          1                            2

 固定资产        2,785,422,62        36.12%  3,166,960,77        32.98%          3.14%

                        9.34                          8.48

 在建工程        646,128,873.          8.38%  627,406,411.          6.53%          1.85%

                          74                            38

 使用权资产      73,307,174.2          0.95%  151,679,569.          1.58%        -0.63%

                          3                            80

 短期借款        2,910,605,04        37.74%  3,263,265,60        33.98%          3.76%

                        7.91                          4.45

 合同负债        463,179,315.          6.01%  362,775,589.          3.78%          2.23%

                          20                            15

 长期借款        474,163,955.          6.15%  540,624,805.          5.63%          0.52%

                          47                            09

 租赁负债        54,203,365.9          0.70%  119,612,457.          1.25%        -0.55%

                          8                            26

          (二)经营情况

          1、营业收入构成

    
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