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首页 公告 亿纬锂能:2023年度财务决算报告

亿纬锂能:2023年度财务决算报告

公告日期:2024-04-19

亿纬锂能:2023年度财务决算报告 PDF查看PDF原文

        证券代码:300014              证券简称:亿纬锂能              公告编号:2024-045

                      惠州亿纬锂能股份有限公司

                        2023 年度财务决算报告

              公司及董事会全体成员保证信息披露的内容真实、准确、完整,没有虚假记

          载、误导性陈述或重大遗漏。

            一、2023 年度公司财务报表的审计情况

            惠州亿纬锂能股份有限公司(以下简称“公司”)2023 年财务报表已经容诚会计

        师事务所(特殊普通合伙)审计,出具了容诚审字[2024]200Z0153 号标准无保留意见

        的审计报告。

            二、财务状况

            1、资产构成情况

                                                                                              单位:元

      项目      2023 年 12 月 31 日 2022 年 12 月 31 日    增减金额    变动幅度        变动原因

货币资金            10,506,208,550.05  8,978,705,396.83  1,527,503,153.22 17.01%

交易性金融资产        3,152,615,500.00  3,360,354,460.00  -207,738,960.00  -6.18%

应收票据              1,767,866,336.62  1,430,289,302.73  337,577,033.89 23.60%

                                                                            随着新建产能持续释放,为满
应收账款            12,427,533,747.50  9,410,805,918.42  3,016,727,829.08        足客户需求,电池出货规模增
                                                                      32.06% 长较大,给予客户一定信用期
                                                                            间,带来应收账款的增加。

应收款项融资          968,382,943.94  1,117,567,323.99  -149,184,380.05 -13.35%

预付款项              233,047,244.39  2,040,289,822.83 -1,807,242,578.44 -88.58% 预付材料款清账。

其他应收款            141,822,497.45    936,313,722.45  -794,491,225.00        子公司亿纬亚洲有限公司收到
                                                                      -84.85% 红土镍矿湿法冶炼项目还款。

存货                  6,316,007,223.39  8,587,981,243.08 -2,271,974,019.69 -26.46%

合同资产              222,322,609.40    190,559,680.39    31,762,929.01 16.67%

其他流动资产          1,050,629,745.54    804,227,917.08  246,401,828.46        子公司持续投入产线建设带来
                                                                      30.64% 增值税进项税额的增加。

债权投资              1,689,305,990.12  1,585,402,584.43  103,903,405.69  6.55%

其他债权投资            10,754,572.92      11,452,959.44      -698,386.52  -6.10%

长期股权投资        14,410,652,020.47  11,504,510,686.88  2,906,141,333.59 25.26%

其他权益工具投资      331,690,450.04    336,362,944.43    -4,672,494.39  -1.39%


                                                                              报告期内,公司及子公司投资
 固定资产            21,747,908,175.39  10,856,835,580.11 10,891,072,595.28        的厂房和设备达到可使用状
                                                                      100.32% 态,转化为可使用的固定资产,
                                                                              带来固定资产的增加。

 在建工程            14,053,075,716.65  13,297,628,626.06  755,447,090.59  5.68%

 使用权资产              95,008,845.38    72,328,304.95    22,680,540.43 31.36% 子公司租入房屋。

 无形资产              1,895,626,149.89  1,311,491,390.67  584,134,759.22 44.54% 子公司购买了土地使用权。

 开发支出              101,028,427.24    105,468,492.50    -4,440,065.26  -4.21%

 商誉                    65,798,821.25    65,798,821.25            0.00  0.00%

 长期待摊费用          389,121,788.93    422,387,844.40    -33,266,055.47  -7.88%

 递延所得税资产        1,168,280,218.76    939,812,975.85  228,467,242.91 24.31%

 其他非流动资产        1,610,650,423.39  6,271,237,182.91 -4,660,586,759.52        公司及子公司采购的设备陆续
                                                                      -74.32% 到货。

            2、负债构成情况

                                                                                                单位:元

    项目      2023 年 12 月 31 日  2022 年 12 月 31 日    增减金额    变动幅度          变动原因

短期借款          1,120,974,369.36    1,294,408,888.53  -173,434,519.17  -13.40%

衍生金融负债          705,050.00                          705,050.00

                                                                              前期开具的银行承兑汇票到期
应付票据          6,198,257,151.45    10,744,841,668.83 -4,546,584,517.38  -42.31% 兑付,电子债权凭证结算比例增
                                                                              加。

应付账款          23,987,365,900.99    14,540,759,319.86 9,446,606,581.13  64.97% 随着采购规模的扩大而增长。

合同负债            397,395,558.88      966,969,893.47  -569,574,334.59  -58.90% 预收客户货款清账。

应付职工薪酬        673,065,141.93      604,799,167.71    68,265,974.22  11.29%

应交税费            211,697,567.29      152,375,789.42    59,321,777.87  38.93% 应交企业所得税增长。

其他应付款          23,892,729.71        67,747,930.93  -43,855,201.22  -64.73% 押金保证金清账。

一年内到期的非    4,044,938,402.59    2,702,256,542.51 1,342,681,860.08        公司及子公司借入的部分款项
                                                                      49.69% 将于一年内到期。

流动负债

其他流动负债      1,233,691,437.37    1,110,395,321.65  123,296,115.72  11.10%

长期借款          14,000,794,012.99    13,837,225,096.88  163,568,916.11    1.18%

应付债券          2,456,852,595.77    2,408,081,997.96    48,770,597.81    2.03%

租赁负债            67,524,196.06        38,232,127.87    29,292,068.19  76.62% 子公司租入房屋。

长期应付款          342,141,281.50      804,366,486.10  -462,225,204.60  -57.46% 支付了融资租赁款。

递延收益            983,593,003.57      739,010,975.43  244,582,028.14  33.10% 收到与资产相关的政府补助。

          
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