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金安国纪:2023年度财务决算报告

公告日期:2024-04-29

金安国纪:2023年度财务决算报告 PDF查看PDF原文

              金安国纪集团股份有限公司

                  2023年财务决算报告

                (报告期间:2023年1月1日-12月31日)

    公司2023年财务决算经上会会计师事务所(特殊普通合伙)审计,并出具了标准无保留意见的审计报告。

    现将2023年财务决算的有关情况报告如下:
一、主要经济指标

                                                                            金额单位:万元

            项目                  2023 年度          2022 年度      本年比上年增减%

          营业收入                      357,121.92          376,039.88              -5.03%

  主要产品:覆铜板销量(张)            45,330,226          36,831,073              23.08%

          利润总额                      -7,250.02          10,754.78            -167.41%

  归属于上市公司股东的净利润              -7,881.28            8,710.48            -190.48%

 归属于上市公司股东的扣除非经

      常性损益的净利润                  -11,006.75            724.64          -1618.93%

  经营活动产生的现金流量净额              27,077.90          45,572.53            -40.58%

            项目              2023 年 12 月 31 日  2022 年 12 月 31 日  本年末比上年增减%

            总资产                      615,258.02          624,356.19              -1.46%

          所有者权益                    355,304.42          369,588.51              -3.86%

            股本                        72,800.00          72,800.00              0.00%

说明:本年度会计报表合并范围包括上海国纪、珠海国纪、国际层压板材、杭州国纪、宁国金安、安徽金瑞、杭州联合、金安国纪投资、金安商贸、国际层压板材(香港)、金安国际控股、金安亚洲、东方金德、上海埃尔顿、上海恒浩、Endoaccess GmbH 和Endoence、广西禅方、天原药业、盛禾种植、金安实业、金安医药、金安国际投资、金星医药投资、上海金板、鹏宇电子、鹏润电子等27家子公司。

    主要经济指标分析:

    (一)利润总额与归属于上市公司股东的净利润较上年同期分别下降167.41%和190.48%,主要是本期产品价格下降毛利率下降,同时计提的固定资产减值和商誉减值金额较大,并且去年同期有较大金额的拆迁补偿所致;

    (二)归属于上市公司股东的扣除非经常性损益的净利润较上年同期下降1,618.93%,主要是本期产品价格下降毛利率下降,同时计提的固定资产减值和商誉减值金额较大所致;

    (三)经营活动产生的现金流量净额较上年同期下降40.58%,主要是本期收入减少所致。

二、资产状况

                                                                            金额单位:万元

          项目              2023 年 12 月 31 日      2022 年 12 月 31 日        增减%

        流动资产:

        货币资金                      91,033.52                97,937.04          -7.05%

      交易性金融资产                    22,318.84                23,091.10          -3.34%

        应收票据                        1,013.74                1,419.20        -28.57%

        应收账款                      63,366.55                73,145.74        -13.37%

      应收款项融资                    57,457.68                59,012.26          -2.63%

        预付款项                          845.77                1,481.42        -42.91%

        其他应收款                      3,555.58                3,315.59          7.24%

          存货                        41,402.73                39,482.53          4.86%

  一年内到期的非流动资产                  6,449.01                58,822.53        -89.04%

      其他流动资产                    28,948.53                20,743.74          39.55%

      非流动资产:

      长期股权投资                      4,991.69                4,910.37          1.66%

    其他权益工具投资                      21.37                  21.37          0.00%

        固定资产                      159,677.26              139,921.50          14.12%

        在建工程                        4,682.71                13,905.87        -66.33%

        使用权资产                        656.65                  757.42        -13.30%

        无形资产                      24,416.73                24,956.85          -2.16%

          商誉                        21,597.97                23,744.22          -9.04%

      长期待摊费用                      1,557.75                1,901.21        -18.07%

      递延所得税资产                    2,266.53                2,142.57          5.79%

      其他非流动资产                    78,997.39                33,643.65        134.81%

      非流动资产合计                    298,866.07              245,905.04          21.54%

        资产总计                      615,258.02              624,356.19          -1.46%

    资产状况分析:

    (一)期末预付款项较上年同期下降42.91%,主要是本期末在建新项目预付工程款和设备款减少所致;

    (二)期末一年内到期的非流动资产较上年同期下降89.04%,主要是一年内到期定期存款减少所致;

    (三)期末其他流动资产较上年同期增加39.55%,主要是本期质押式债券逆回购增加所致;

    (四)期末在建工程较上年同期下降66.33%,主要是本期在建工程完工转固定资产所致;

    (五)期末其他非流动资产较上年同期增加134.81%,主要是本期一年期以上的定期银行存款增加所致。

三、负债情况

                                                                            金额单位:万元

          项目              2023 年 12 月 31 日      2022 年 12 月 31 日        增减%

 流动负债:

        短期借款                            0.00                    0.00                -

        应付票据                      145,713.38              132,326.48          10.12%

        应付账款                        70,173.64              80,978.97          -13.34%

        预收款项                            0.00                    0.00                -

        合同负债                        2,918.89                5,530.66          -47.22%

      应付职工薪酬                      3,114.92                3,520.69          -11.53%

        应交税费                        2,090.53                3,847.44          -45.66%

        其他应付款                      24,317.74              20,967.79          15.98%

  一年内到期的非流动负债                  1,330.25                  223.68          494.71%

      其他流动负债                      3,154.56                  523.65      
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