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新纶新材:2023年度财务决算报告

公告日期:2024-04-30

新纶新材:2023年度财务决算报告 PDF查看PDF原文

                    新纶新材料股份有限公司

                    2023 年度财务决算报告

      经中审亚太会计师事务所(特殊普通合伙)审计,2023年度新纶新材料股份
  有限公司(以下简称“公司”)经营业绩情况如下:

      一、主要财务数据

                                                                      单位:万元

      项目          2023 年度      2022 年度    ±变动比例        变动原因

                                                                主要系公司主营业务聚
营业收入                66,290.19      97,877.38      -32.27% 焦新材料板块,战略收
                                                                缩非材料业务规模所
                                                                致。

营业成本                58,556.94      83,831.79      -30.15% 成本随营收规模下降。

                                                                主要系本年计提信用减
利润总额                -81,024.10    -125,203.12        35.29% 值损失和资产减值损失
                                                                相较去年同期减少所
                                                                致。

归属于母公司所有者      -94,717.18    -123,290.46        23.18%

的净利润

基本每股收益(元)          -0.82          -1.07        23.36%

                                                                一方面是由于今年加强
                                                                费用管理,开源节流减
经营活动产生的现金      5,037.37          79.23      6257.91% 少现金支出,另一方面
流量净额                                                        由于加强客户账期管
                                                                理,增加经营性现金流
                                                                入。

资产总额              388,530.44    480,205.27      -19.09%

负债总额              367,548.50    364,594.36        0.81%

    二、公司财务状况


    1、资产构成情况

                                                                                  单位:万元

                2023 年 12 月 31 日    2022 年 12 月 31 日    ±变动比

    资产                  占资产                占资产      例        变动原因

                金额      比率      金额      比率

                                                                    因采购成本压降,部
货币资金        1,720.87    0.44%    3,458.20    0.72%    -50.24%  分供应商变更为预
                                                                    付款。

交易性金融资      81.50    0.02%      64.00    0.01%    27.34%



应收票据          826.44    0.21%          -        -          -  主要系本期增加商
                                                                    业票据。

应收账款        15,253.85    3.93%  20,002.64    4.17%    -23.74%

应收款项融资      432.68    0.11%    5,880.01    1.22%    -92.64%  主要系本期银行承
                                                                    兑票据减少所致。

                                                                    因采购成本压降,部
预付款项        6,008.46    1.55%    1,585.37    0.33%  278.99%  分供应商变更为预
                                                                    付款。

其他应收款      19,694.30    5.07%  27,894.49    5.81%    -29.40%

                                                                    主要系本期加强存
存货            12,516.49    3.22%  18,839.15    3.92%    -33.56%  货管理,改善库存状
                                                                    况。

合同资产        11,585.23    2.98%  15,148.95    3.15%    -23.52%

                                                                    主要系本期待抵扣
                                                                    增值税进项及预缴
其他流动资产      639.71    0.16%    1,549.50    0.32%    -58.71%  税金重分类至其他
                                                                    流动资产金额减少
                                                                    所致。

流动资产合计    68,759.53    17.70%  94,422.31  19.66%    -27.18%

长期应收款      1,722.59    0.44%    2,118.45    0.44%    -18.69%

长期股权投资    9,651.54    2.48%    9,751.63    2.03%    -1.03%

其他非流动金    1,260.00    0.32%    1,260.00    0.26%          -

融资产

投资性房地产    17,603.38    4.53%  18,083.55    3.77%    -2.66%

固定资产      130,279.91    33.53%  137,907.02  28.72%    -5.53%

在建工程        8,711.52    2.24%    9,496.24    1.98%    -8.26%

使用权资产      3,207.17    0.83%    2,876.13    0.60%    11.51%

无形资产        41,728.22    10.74%  45,219.94    9.42%    -7.72%

开发支出        5,375.30    1.38%    6,763.08    1.41%    -20.52%

商誉            32,641.63    8.40%  32,641.63    6.80%          -


长期待摊费用    2,044.49    0.53%    3,612.43    0.75%    -43.40%  主要系本期摊销导
                                                                    致余额减少。

递延所得税资                                                        主要系本期冲回前
产              8,028.37    2.07%  21,799.41    4.54%    -63.17%  期确认的递延所得
                                                                    税资产所致。

其他非流动资    57,516.78    14.80%  94,253.44  19.63%    -38.98%  主要系计提非流动
产                                                                  资产减值所致。

非流动资产合  319,770.90    82.30%  385,782.96  80.34%    -17.11%



      2、负债构成情况

                                                                        单位:万元

                2023 年 12 月 31 日      2022 年 12 月 31 日    ±变动

 负债项目                  占负债                占负债    比例        变动原因

                金额      比率      金额      比率

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