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首页 公告 精测电子:武汉精测电子集团股份有限公司2023年度财务决算报告

精测电子:武汉精测电子集团股份有限公司2023年度财务决算报告

公告日期:2024-04-23

精测电子:武汉精测电子集团股份有限公司2023年度财务决算报告 PDF查看PDF原文

          武汉精测电子集团股份有限公司

            2023 年度财务决算报告

    一、2023 年度公司财务报表审计情况

    武汉精测电子集团股份有限公司(以下简称“公司”)2023 年财务报表业
经立信会计师事务所(特殊普通合伙)审计,出具了标准无保留意见的审计报告。会计师的审计意见是:公司财务报表在所有重大方面按照企业会计准则的规定编
制,公允反映了公司 2023 年 12 月 31 日的财务状况以及 2023 年度的经营成果和
现金流量。

    二、2023 年主要财务数据及指标

            主要财务数据及指标                  2023 年      2022 年    本年比上年增减
                                                                              (%)

营业收入(万元)                                242,936.76  273,057.18      -11.03

营业成本(万元)                                124,028.09  151,836.20      -18.31

营业利润(万元)                                  12,910.24  24,934.18      -48.22

利润总额(万元)                                  12,696.57  24,414.80      -48.00

归属于上市公司普通股股东的净利润(万元)          15,010.24  27,189.06      -44.79

资产总额(万元)                                922,133.49  747,692.55      23.33

负债总额(万元)                                500,224.82  395,058.05      26.62

归属于上市公司普通股股东的所有者权益(万元)    370,556.87  322,522.60      14.89

经营活动产生的现金流量净额(万元)                -3,174.98    -762.28

销售净利润率                                          3.64%      7.63%      -3.99

加权平均净资产收益率                                  4.27%      8.07%      -3.80

基本每股收益(元/股)                                  0.54        0.99      -45.45

流动比率                                              1.86        1.39      33.81

速动比率                                              1.35        0.95      42.11

贷款偿还率                                          100.00%    100.00%

利息偿付率                                          100.00%    100.00%


    说明:

    公司 2023 年度实现营业收入 242,936.76 万元,较上年 273,057.18 万元减
少 11.03%;归属于上市公司股东的净利润为 15,010.24 万元,较上年 27,189.06
万元减少 44.79%;资产总额 922,133.49 万元,较上年 747,692.55 万元增长
23.33%;基本每股收益 0.54 元/股,较上年 0.99 元/股减少 45.45%。流动比率
1.86 和速动比率 1.35 分别较上年增长 33.81%和 42.11%,贷款偿还率和利息偿
付率均为 100%,公司短期偿债能力较强。

    三、2023 年末资产负债状况

                                                      金额单位:万元

        项目            2023 年 12 月 31 日    2022 年 12 月 31 日  本年比上年增  本年比上
                                                                      减额      年增减(%)

      货币资金              184,984.34          94,074.27        90,910.07      96.64

      应收票据                222.45              962.90          -740.45      -76.90

      应收账款              150,247.98          146,009.29        4,238.69      2.90

    应收款项融资            1,122.79              4.99          1,117.80    22,400.80

      预付款项              16,421.75            7,822.58        8,599.17      109.93

      其他应收款              2,403.06            4,687.33        -2,284.27      -48.73

        存货                148,919.47          135,438.79        13,480.68      9.95

      合同资产              34,854.22          31,186.95        3,667.27      11.76

    其他流动资产            9,041.19            8,026.53        1,014.66      12.64

    流动资产合计          548,217.25          428,213.62      120,003.63      28.02

    长期股权投资            30,200.02          25,469.68        4,730.34      18.57

  其他权益工具投资          33,445.51          30,610.04        2,835.47      9.26

    投资性房地产              182.10              188.40            -6.30        -3.34

      固定资产              201,073.21          153,783.97        47,289.24      30.75

      在建工程              62,882.35          63,375.75        -493.40      -0.78

      使用权资产              2,821.19            3,717.33          -896.14      -24.11

      无形资产              29,788.34          31,189.91        -1,401.57      -4.49

      开发支出              2,379.70            484.77          1,894.93      390.89

        商誉                3,510.70            3,510.70          0.00        0.00

    长期待摊费用            2,249.22            3,209.40          -960.18      -29.92

    递延所得税资产            3,036.07            3,426.64          -390.57      -11.40


    其他非流动资产            2,347.82            512.35          1,835.47      358.24

    非流动资产合计          373,916.23          319,478.93        54,437.30      17.04

      资产总计            922,133.49          747,692.55      174,440.94      23.33

      短期借款              115,960.38          126,646.01      -10,685.63      -8.44

      应付票据              8,437.06            16,840.25        -8,403.19      -49.90

      应付账款              86,997.20          104,711.36      -17,714.16    -16.92

      合同负债              38,949.55          19,928.76        19,020.79      95.44

    应付职工薪酬            16,587.81          18,664.85        -2,077.04      -11.13

      应交税费              5,755.35            7,545.50        -1,790.15      -23.72

      其他应付款              2,161.88            1,017.69        1,144.19      112.43

一年内到期的非流动负债      19,612.32            9,578.36        10,033.96      104.76

    其他流动负债              695.48            2,404.30        -1,708.82      -71.07

    流动负债合计          295,157.03          307,337.08      -12,180.05      -3.96

      长期借款              27,300.21          22,946.51        4,353.70      18.97

      应付债券              136,218.88          
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