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激智科技:2023年度财务决算报告

公告日期:2024-04-20

激智科技:2023年度财务决算报告 PDF查看PDF原文

                2023 年度财务决算报告

        宁波激智科技股份有限公司(以下简称“公司”)2023 年度财务

    报告审计工作已经完成,由立信会计师事务所(特殊普通合伙)对公

    司 2023 年 12 月 31 日的合并及母公司资产负债表、2023 年度合并及母

    公司利润表、合并及母公司现金流量表、合并及母公司所有者权益变

    动表以及财务报表附注进行了审计,并出具了标准无保留意见的审计

    报告。现将决算情况报告如下:

            一、2023 年度公司主要财务指标情况

                                                    单位:万元 币种:人民币

              项目                  报告期    上年同期    增减额    增减幅度

营业收入                            230,327.30 198,147.75  32,179.55    16.24%

营业成本                            184,887.75 169,026.05  15,861.70    9.38%

营业利润                              15,718.82  3,960.37  11,758.45  296.90%

利润总额                              16,234.34  4,832.79  11,401.55  235.92%

归属上市公司股东的净利润              14,438.46  5,678.90    8,759.56  154.25%

扣除非经常性损益后净利润              7,895.67    812.43    7,083.24  871.86%

经营活动净现金流量                    16,880.30  3,573.74  13,306.56  372.34%

产品总销售量(万平米)                18,403.86  15,477.25    2,926.61    18.91%

每股收益(元/股)                          0.55      0.22        0.33  150.00%

每股净资产(元/股)                        6.96      6.38        0.58    9.09%

扣除非经常性损益后每股收益(元/股)        0.3      0.03        0.27  900.00%

加权平均净资产收益率                      8.37%      3.35%    增加 5.02 个百分点

资产负债率                              52.95%    51.76%    增加 1.19 个百分点

流动比率                                  1.37      1.29        0.08    6.20%

每股经营活动产生现金流量净额(元)        0.64      0.14        0.50  357.14%

        二、 2023 年度公司财务状况及经营成果情况说明

                                                      单位:元 币种:人民币


资产负债表项目  期末数          期初数          变动幅度 主要变动原因

                                                            主要系报告期第 4 季度光
货币资金          913,296,445.33  841,711,965.51    8.50% 学产品及光伏背板回款较
                                                            好所致

应收票据          283,422,483.29  158,716,742.58  78.57% 主要系商业承兑汇票结算
                                                            量增加所致

应收账款          645,067,914.83  600,247,957.67    7.47% 主要系报告期销售收入增
                                                            加所致

预付款项          13,569,161.81  34,915,954.03  -61.14% 主要系预付材料款减少所
                                                            致

其他应收款          2,509,314.43  10,222,270.59  -75.45% 主要系保证金减少所致

存货              436,185,568.46  463,489,240.38  -5.89% 主要系公司加强存货管
                                                            控,提升存货周转率所致

其他流动资产      56,726,221.05  30,506,897.00  85.95% 主要系购买保本理财产品
                                                            所致

长期股权投资      80,121,885.75  69,539,177.30  15.22% 主要系股权投资增加及投
                                                            资的公司权益增加所致

其他权益工具投                                              主要系其他综合收益增加
资                243,735,700.45  140,119,750.83  73.95% 及长期股权投资转其他权
                                                            益工具投资核算所致

投资性房地产      16,556,996.15  13,880,043.56  19.29% 主要系报告期出租办公楼
                                                            所致。

固定资产          793,162,607.82  597,757,752.30  32.69% 主要系厂房及设备转固所
                                                            致

在建工程          135,737,725.93  249,525,169.66  -45.60% 主要系厂房及设备转固所
                                                            致

使用权资产            461,368.46    2,733,363.55  -83.12% 主要系使用权资产计提折
                                                            旧所致。

递延所得税资产    25,733,487.55  41,935,072.63  -38.63% 主要系可抵扣亏损减少所
                                                            致

短期借款          573,866,529.87  665,879,117.78  -13.82% 主要系银行借款减少所
                                                            致。

合同负债            3,817,175.33    2,492,461.95  53.15% 主要系预收款增加所致。

一年内到期的非    40,384,285.80  102,580,836.95  -60.63% 主要系一年内到期的长期
流动负债                                                    借款减少所致

其他流动负债      123,467,745.59  18,243,922.95  576.76% 主要系发行短期融资券所
                                                            致

长期借款          226,000,000.00  28,500,000.00  692.98% 主要系银行借款增加所
                                                            致。

租赁负债                              355,822.11 -100.00% 主要系租赁负债转至流动
                                                            负债所致

递延所得税负债    10,588,020.99      329,131.14 3116.96% 主要系其他权益工具投资
                                                            公允价值增加所致


库存股            30,932,646.72    9,937,385.08  211.28% 主要系报告期回购股票所
                                                            致

其他综合收益      107,636,095.37  45,491,788.20  136.61% 主要系其他权益工具投资
                                                            公允价值增加所致

 利润表项目    报告期          上年同期        变动幅度  主要变动原因

                                                              主要系报告期光伏背
 营业收入      2,303,273,018.67 1,981,477,485.12    16.24% 板、胶膜产品销售增
                                                              加所致。

                                                              主要系报告期材料采
 营业成本      1,848,877,536.80 1,690,260,454.96    9.38% 购成本下降
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