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首页 公告 共达电声:共达电声股份有限公司2023年度财务决算报告

共达电声:共达电声股份有限公司2023年度财务决算报告

公告日期:2024-04-03

共达电声:共达电声股份有限公司2023年度财务决算报告 PDF查看PDF原文

                  共达电声股份有限公司2023年度财务决算报告

  一、合并报表范围及审计

  1、2023年度公司合并报表范围

  母公司:共达电声股份有限公司

  控股子公司:上海树固电子科技有限公司

                共达(浙江)电声股份有限公司

  全资子公司:香港树伟朋电子科技有限公司

                无锡感芯科技有限公司

                山东感芯半导体有限公司

                共达科技(马来西亚)有限公司

  2、2023年度公司合并报表范围变更情况

  本报告期内新增子公司:

                序号            子公司全称                  纳入合并范围原因

                1  无锡感芯科技有限公司              同一控制下企业合并

                2  共达(浙江)电声股份有限公司      设立

                3  山东感芯半导体有限公司            设立

                4  共达科技(马来西亚)有限公司      设立

  本报告期内减少子公司:无

  3、2023年度公司合并报表审计

  公司 2023 度会计报表已经容诚会计师事务所(特殊普通合伙)审计,出具容诚审字容诚审字[2024]518Z0022 号标准无保留意见的审计报告。

  二、报告期主要财务数据和指标

                                            2023 年            2022 年        本年比上年增减      2021 年

  营业收入(元)                        997,600,140.39        1,002,886,650.71          -0.53%      948,015,105.59

  归属于上市公司股东的净利润

  (元)                                  55,669,449.70          56,056,202.63          -0.69%      60,761,962.18

  归属于上市公司股东的扣除非经常

  性损益的净利润(元)                  55,228,442.74          57,545,245.33          -4.03%      68,379,817.18

  经营活动产生的现金流量净额

  (元)                                134,426,466.68          62,028,443.20          116.72%      10,136,786.46

  基本每股收益(元/股)                        0.1546                0.1557          -0.71%            0.1688

  稀释每股收益(元/股)                        0.1546                0.1555          -0.58%            0.1688

  加权平均净资产收益率                        9.04%                8.13%            0.91%            9.95%

                                          2023 年末          2022 年末        本年末比上年末      2021 年末

                                                                                    增减

  总资产(元)                        1,378,670,269.31        1,209,116,082.17          14.02%    1,233,514,450.48

      归属于上市公司股东的净资产

                          (元)      610,806,279.18        712,862,308.82          -14.32%      682,962,367.34

三、财务状况 、经营成果和现金流量分析

(一)财务状况分析 ( 单位:元)

          项目                          年末余额                              年初余额                比重增  金额变动            重大变动说明

                                金额          占总资产比例(%)          金额          占总资产比例(%)    减(%)    幅度(%)

        货币资金              182,677,463.91              13.25      150,634,878.27              12.46    0.79      21.27

        应收票据                13,200,933.93              0.96        43,194,785.34              3.57    -2.61    -69.44  非 6+9 银行票据结算减少所致

        应收账款              451,650,218.86              32.76      305,097,243.49              25.23    7.53      48.03  公司销售增长所致

      应收款项融资              79,750,017.36              5.78        29,517,352.11              2.44    3.34    170.18  本期收到的“6+9”银行承兑汇票增加所致

        预付款项                1,307,327.20              0.09          979,396.40              0.08    0.01      33.48  预付货款增加所致

      其他应收款                6,408,556.93              0.46        8,996,296.01              0.74    -0.28    -28.76  收回上期末应收政府土地收回补偿金所致

          存货                185,978,002.18              13.49      220,261,594.62              18.22    -4.73    -15.56

      其他流动资产              17,781,401.31              1.29        3,894,392.19              0.32    0.97    356.59  本期新增一年内到期定期存单所致

        固定资产              278,255,474.02              20.18      302,000,487.89              24.98    -4.79      -7.86

        在建工程                20,705,674.17              1.50        25,924,597.70              2.14    -0.64    -20.13

      使用权资产              11,192,074.14              0.81        1,287,946.73              0.11    0.71    768.99  租赁房产增加所致

        无形资产                81,907,927.27              5.94        77,928,688.21              6.45    -0.50      5.11

          商誉                  10,008,329.39              0.73        10,008,329.39              0.83    -0.10          -

      长期待摊费用              3,234,604.30              0.23        3,819,254.56              0.32    -0.08    -15.31

    递延所得税资产            22,343,562.13              1.62        20,977,545.16              1.73    -0.11      6.51

    其他非流动资产            12,268,702.21              0.89        4,593,294.10              0.38    0.51    167.10  本期新设子公司预付工程、设备款增加所致

        短期借款                90,628,118.06              6.57        82,102,812.51              6.79    -0.22      10.38

        应付票据                53,743,528.91              3.90        60,302,730.23              4.99    -1.09    -10.88

        应付账款              360,927,561.70              26.18      215,321,185.73              17.81    8.37      67.62  应付货款增加所致

        合同负债                  290,208.74              0.02          140,799.29              0.01    0.01    106.12  预收货款增加所致

      应付职工薪酬              60,668,650.90              4.40        58,281,448.02              4.82    -0.42      4.10

        应交税费                8,998,194.84              0.65        3,146,895.46              0.26    0.39    185.94  应交增值税和企业所得税增
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