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云意电气:2023年度财务决算报告

公告日期:2024-03-21

云意电气:2023年度财务决算报告 PDF查看PDF原文

              江苏云意电气股份有限公司

                2023 年度财务决算报告

    江苏云意电气股份有限公司(以下简称“公司”)2023 年 12 月 31 日的资产负债
表、2023 年度的利润表、现金流量表、股东权益变动表以及财务报表附注已经天健会计师事务所(特殊普通合伙)审计,并出具标准无保留意见的审计报告,现将决算情况报告如下:

    一、主要财务指标

    2023 年,公司实现营业收入 1,671,254,920.36 元,比上年同期增长 42.29%,归属
于上市公司股东的净利润 304,982,570.80 元,比上年同期增加 124.07%,主要财务指标如下:

                  项目                    2023 年度    2022 年度  增减变动幅度

 基本每股收益(元/股)                      0.35        0.16        118.75%

 稀释每股收益(元/股)                      0.35        0.16        118.75%

 扣除非经常性损益后的基本每股收益(元/        0.30        0.16        87.50%

 股)

 加权平均净资产收益率                      11.64%      5.60%        6.04%

 扣除非经常性损益后的加权平均净资产收益      9.96%        5.84%        4.12%

 率

 每股经营活动产生的现金流量净额(元/股)      0.24        0.11        118.18%

 归属于上市公司股东的每股净资产(元/股)    3.089        2.867        7.74%

二、财务状况、经营成果和现金流量分析
(一)报告期资产构成及变动情况

        项目          2023 年 12 月 31 日  2022 年 12 月 31 日    增减变动幅度

      货币资金          1,096,465,595.85      785,579,148.50          39.57%

    交易性金融资产      597,741,425.52      479,711,818.70          24.60%

      应收票据            475,000.00              -                100.00%

      应收账款          510,875,043.81      351,150,180.76          45.49%

    应收款项融资        61,381,303.17        57,660,730.61          6.45%

      预付款项          10,538,033.09        7,868,113.28          33.93%

      其他应收款          1,013,988.32        1,257,117.61          -19.34%

        存货            393,289,708.56      385,020,290.73          2.15%

      合同资产            102,321.72              -                100.00%

    其他流动资产        55,124,899.33      331,189,879.14          -83.36%

    流动资产合计        2,727,007,319.37    2,399,437,279.33        13.65%

    长期股权投资        78,122,162.52        58,895,802.85          32.64%

  其他非流动金融资产      49,768,897.10      104,412,200.00          -52.33%

    投资性房地产        55,079,965.51        58,925,375.59          -6.53%

      固定资产          554,498,625.74      560,723,645.88          -1.11%

      在建工程          161,658,692.31      47,738,860.89          238.63%

      使用权资产          2,461,461.07        3,522,289.51          -30.12%

      无形资产          26,404,105.96        27,049,287.41          -2.39%

        商誉            17,065,423.64        24,876,565.59          -31.40%

    长期待摊费用        12,294,052.29        14,715,503.23          -16.46%

    递延所得税资产        10,560,047.80        12,751,685.88          -17.19%

    其他非流动资产        11,379,134.75        5,596,025.78          103.34%

    非流动资产合计      979,292,568.69      919,207,242.61          6.54%

      资产总计          3,706,299,888.06    3,318,644,521.94        11.68%

1、货币资金期末数较期初数增加 31,088.64 万元,主要系本报告期销售商品收到的现金增加及理财产品到期所致;

2、应收票据期末数较期初数增加 47.50 万元,主要系本期收到商业汇票所致;
3、应收账款期末数较期初数增加 15,972.49 万元,主要系本期产销规模的扩大,导致应收货款增加所致;
4、预付款项期末数较期初数增加 266.99 万元,主要系本期公司预付材料款所致;5、合同资产期末数较期初数增加 10.23 万元,主要系本期客户质保金增加所致;
6、其他流动资产期末数较期初数减少 27,606.5 万元,主要系本期理财产品到期所致;7、长期股权投资期末数较期初数增长 32.64%,主要系本期投资联营企业产生的收益所致;
8、其他非流动金融资产期末数较期初数减少 5,464.33 万元,主要系本期投资项目的公允价值变动所致;
9、在建工程期末数较期初数增加 11,391.98 万元,主要系本报告期珠江路厂房投入增加所致;
10、使用权资产期末数较期初数减少 30.12%,主要系本期计提使用权资产折旧所致;11、 商誉期末数较期初数减少 781.11 万元,主要系本期计提商誉减值所致;
12、其他非流动资产期末数较期初数增加 578.31 万元,主要系本期预付设备款增加所致。
(二)报告期负债构成及变动情况

        项目          2023 年 12 月 31 日  2022 年 12 月 31 日    增减变动幅度

      短期借款          20,016,666.66      35,034,416.67          -42.87%

      应付票据          268,040,345.60      196,876,760.33          36.15%

      应付账款          357,869,819.92      267,681,761.94          33.69%

      合同负债          12,310,041.47        13,161,811.56          -6.47%

    应付职工薪酬        65,274,391.74      49,515,737.21          31.83%

      应交税费          18,373,899.95        6,517,719.40          181.91%

      其他应付款          16,515,144.39      16,395,935.09          0.73%

 一年内到期的非流动负债    1,178,305.36        1,128,798.86          4.39%

    其他流动负债          485,049.36          678,955.58          -28.56%


    流动负债合计        760,063,664.45      586,991,896.64          29.48%

      租赁负债            1,457,078.97        2,523,403.47          -42.26%

      长期应付款          11,915,000.00        11,915,000.00          0.00%

      预计负债          13,832,909.93      18,609,104.58          -25.67%

      递延收益          77,182,700.80      78,051,447.89          -1.11%

    递延所得税负债        16,265,268.68      18,254,706.38          -10.90%

    非流动负债合计        120,652,958.38      129,353,662.32          -6.73%

      负债合计          880,716,622.83      716,345,558.96          22.95%

1、短期借款期末数较期初数减少 42.87%,主要系本期偿还到期贷款所致;
2、应付票据期末数较期初数增长 36.15%,主要系本期开具银行承兑汇票增加所
致;
3、应付账款期末数较期初数增加 9,018.81 万元,主要系本期产销规模的扩大,导致应付货款增加所致;
4、应付职工薪酬期末数较期初数增加 1575.87 万元,主要系本期公司计提绩效增加所致;
5、应交税费期末数较期初数增加 1,185.62 万元,主要系本期业务规模和利润大幅增长,应交企业所得税增加所致;
6、租赁负债期末数较期初数减少 106.63 万元,主要系本期支付租赁款所致。
(三)报告期损益情况

        项目              2023 年度          2022 年度        增减变动幅度

      营业收入          1,671,254,920.36    1,174,504,447.71        42.29%

      营业成本          1,154,854,869.95      826,200,416.23          39.78%

      税金及附加     
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