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天山铝业:2023年年度财务报告

公告日期:2024-04-09

天山铝业:2023年年度财务报告 PDF查看PDF原文

              2023 年度财务决算报告

一、公司经营业绩
1、主要财务指标情况

                      主要财务指标情况对比表

                                    2022 年            本年比上          2021 年

              2023 年                                  年增减

                              调整前        调整后      调整后      调整前      调整后

  营业收入  28,974,772,  33,008,418,  33,008,418,  -12.22%  28,744,767,  28,744,767
  (元)          367.83      336.65      336.65                  071.79    ,071.79

  归属于上

  市公司股  2,205,311,3  2,650,475,3  2,650,492,1  -16.80%  3,833,042,3  3,833,042,
  东的净利        94.06        30.04        47.81                  71.93      371.93
  润(元)

  归属于上

  市公司股

  东的扣除  1,883,104,4  2,538,346,9  2,538,346,9  -25.81%  3,694,237,7  3,694,237,
  非经常性        76.20        77.78        77.78                  35.01      735.01
  损益的净

  利润(元)

  经营活动

  产生的现  3,916,335,0  3,157,142,0  3,156,955,8    24.05%  1,979,145,9  1,979,142,
  金流量净        57.57        77.10        17.33                  81.78      190.91
  额(元)

  基本每股

  收益(元/        0.48        0.57          0.57  -15.79%        0.82        0.82
  股)

  稀释每股

  收益(元/        0.48        0.57          0.57  -15.79%        0.82        0.82
  股)

  加权平均

  净资产收        9.44%      12.06%      12.03%    -2.59%      18.62%      18.56%
  益率

                                                        本年末比

              2023 年末            2022 年末          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  57,097,016,  56,715,767,  57,309,844,    -0.37%  53,481,873,  54,075,588
  (元)          803.02      322.32      889.54                  156.43    ,626.81

  归属于上

  市公司股  24,106,949,  22,837,911,  22,903,855,    5.25%  21,266,624,  21,332,551
  东的净资      232.84      843.83      556.14                  992.68    ,887.22
  产(元)
2、经营费用情况


                        四项期间费用对比表

                                                                                    单位:元

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

  销售费用          17,657,630.93        18,091,111.02          -2.40%

  管理费用          344,460,295.93      300,804,133.06          14.51%

  财务费用          787,636,196.05      786,932,558.98            0.09%

  研发费用          217,059,755.90      241,936,055.95          -10.28%

二、公司财务状况及现金流量
1、财务状况

                      主要资产负债指标变动表

                                                                    单位:元

                      2023 年末              2023 年初        比重增

                  金额      占总资      金额      占总资    减        重大变动说明

                              产比例                产比例

              7,811,551,592            8,831,869,3                    主要系本年年末票据
  货币资金              .08  13.68%        21.22  15.41%  -1.73%  保证金余额较上年同
                                                                        期减少所致。

              507,792,455.1            716,390,653                    系公司在报告期末时
  应收账款                1    0.89%          .63    1.25%  -0.36%  点,销售商品尚未收到
                                                                        的款项较上期减少。

                                                                        系报告期末,票据承兑
  应收款项融  57,736,814.09    0.10%  28,128,028.    0.05%    0.05%  银行的信用等级较高
  资                                            41                    的应收票据余额增加
                                                                        导致。

                                                                        系公司根据市场变化
              2,078,094,639            4,306,096,9                    进行经营计划的调整,
  预付款项              .42    3.64%        53.44    7.51%  -3.87%  通过预付方式采购的
                                                                        原材料的余额减少所
                                                                        致。

                                        48,167,154.                    系报告期末,垫付的土
  其他应收款  96,690,680.53    0.17%            54    0.08%    0.09%  地占补指标款等征地
                                                                        相关款项增加所致。

  存货        9,543,302,748  16.71%  9,531,594,0  16.63%    0.08%  基本持平

                        .06                  99.53

  其他流动资  394,422,049.4    0.69%  290,409,676    0.51%    0.18%  系报告期末,待抵扣进
  产                      7                    .08                    项税增加所致。

  固定资产    26,467,085,48  46.35%  27,397,057,  47.81%  -1.46%  基本持平

                        5.52                581.99

                                                                        主要系本报告期末石
  在建工程    4,344,290,134    7.61%  2,413,776,3    4.21%    3.40%  河子铝箔坯料项目和
                        .69                  84.45                    江阴电子铝箔项目建
                                                                        设投入增加所致。

  使用权资产  1,444,486.88    0.00%  6,
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