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华谊兄弟:2023年度财务决算报告

公告日期:2024-04-30

华谊兄弟:2023年度财务决算报告 PDF查看PDF原文

          华谊兄弟传媒股份有限公司

            2023 年度财务决算报告

    根据 2023年度公司经营状况和财务状况,结合公司合并报表数据,大华会
计师事务所(特殊普通合伙)为公司出具了标准无保留意见的《审计报告》(报告号大华审字【2024】 0011005219号),并根据审计结果编制2023年度财务决算,报告如下:

    一、 财务状况

                                                                          (金额单位:万元)

  序号        项目        2023/12/31      2022/12/31      增减

  一、                资产

      1              总资产                  404,220.66            527,520.34    -123,299.68

      2              流动资产                126,469.39            142,860.46    -16,391.07

      3              应收账款                  29,149.77              7,687.56      21,462.21

      4              固定资产                  29,265.01              63,529.03    -34,264.02

      5            长期待摊费用                1,538.33              5,813.59      -4,275.27

  二、                负债                                                  -

      1            负债合计                319,559.60            379,514.12    -59,954.52

      2            流动负债                225,257.84            212,355.19      12,902.65

    其中:          短期借款

      1)                                      49,478.71              56,193.92      -6,715.21

    2)            应付账款                  50,655.14              52,878.42      -2,223.28

    3)            预收账款                  2,534.35              2,185.42        348.93

    4)            合同负债                  19,858.54              33,351.57    -13,493.02

    5)            应交税费                  1,414.33              1,130.44        283.89

    6)            其他应付款                56,913.91              38,637.09      18,276.83

    7)          其他流动负债                1,193.28                659.96        533.32

      3            非流动负债                94,301.76            167,158.94    -72,857.17

  三、              所有者权益                                              -

      1          所有者权益合计              84,661.05            148,006.21    -63,345.16

      2              股本                  277,450.59            277,450.59            -

      3            资本公积                247,650.92            247,310.55        340.36

                    减:库存股                                              -

      4          其他综合收益                -92,635.41            -85,078.69      -7,556.72

    5            盈余公积                  44,869.45              44,869.45            -

    6            未分配利润                -409,837.57            -354,566.89    -55,270.68

    7          少数股东权益                17,163.07              18,021.19        -858.12

  注:以上财务数据均为合并报表数据

  二、经营成果

                                                                      (金额单位:万元)

 序号          项目              2023 年            2022 年        增减
                              金额    占收入    金额    占收入

  1    营业收入                      66,622.84    100.00%    40,233.34    100.00%    26,389.49

  2    营业成本                      43,826.96      65.78%    43,171.70    107.30%      655.26

  3    销售费用                      7,577.21      11.37%    9,836.49    24.45%    -2,259.28

  4    管理费用                      17,559.41      26.36%    20,258.91    50.35%    -2,699.50

  5    研发费用                                                      -      0.00%

  6    财务费用                      13,285.72      19.94%    17,551.46    43.62%    -4,265.74

  7    利润总额                    -50,475.11    -75.76%    -92,139.81    -229.01%    41,664.70

  8    所得税费用                    1,927.02      2.89%    7,041.91    17.50%    -5,114.89

  9    净利润                      -52,402.13    -78.65%    -99,181.72    -246.52%    46,779.59

  10    归属于母公司股东的净利润    -53,883.18    -80.88%    -98,114.44    -243.86%    44,231.26

  11    基本每股收益                    -0.19                    -0.35

  三、现金流量情况

                                                                      (金额单位:万元)

            项目                                2023 年

                                                  合并

经营活动产生的现金流量净额                                                            8,282.79

投资活动产生的现金流量净额                                                            4,992.69

筹资活动产生的现金流量净额                                                          -21,627.01

汇率变动对现金及现金等价物的影响                                                      -149.20

现金及现金等价物净增加额                                                              -8,500.74

  注:以上财务数据均为合并报表数据

  四、股东权益变动情况

                                                                      (金额单位:万元)


序号        项目          2023 年期初    2023 年期末      变动

 1    所有者权益合计                  148,006.21            84,661.05          -63,345.16

 2    股本                              277,450.59            277,450.59                  -

 3    资本公积                          247,310.55            247,650.92              340.36

 4    减:库存股                                                                        -

 5    其他综合收益                    -85,078.69            -92,635.41          -7,556.72

 6    盈余公积                          44,869.45    
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