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科思股份:2023年度财务决算报告

公告日期:2024-04-17

科思股份:2023年度财务决算报告 PDF查看PDF原文

                  南京科思化学股份有限公司

                    2023 年度财务决算报告

          南京科思化学股份有限公司(以下简称“公司”)2023 年财务报表已经天衡

      会计师事务所(特殊普通合伙)审核,并由其出具了标准无保留意见审计报告。

      现将公司 2023 年度财务决算情况报告如下:

          一、主要会计数据和财务指标

                                                              本年比

                                            2022 年          上年增            2021 年

                        2023 年                                减

                                      调整前      调整后    调整后    调整前      调整后

营业收入(元)        2,399,920,2  1,764,816,5  1,764,816,5  35.99%  1,090,416,6  1,090,416,6
                            17.58        58.96        58.96                  61.57        61.57

归属于上市公司股东的  733,587,263  388,143,580  388,108,733  89.02%  132,866,082  132,866,082
净利润(元)                  .70          .49          .79                    .51          .51

归属于上市公司股东的  715,454,749  378,354,819  378,319,972            114,912,962  114,912,962
扣除非经常性损益的净          .18          .42          .72  89.11%          .50          .50
利润(元)

经营活动产生的现金流  798,883,526  287,219,044  287,219,044  178.14%  152,054,559  152,054,559
量净额(元)                  .88          .00          .00                    .59          .59

基本每股收益(元/股)      4.3325      2.2924      2.2924  88.99%      0.7847      0.7847

稀释每股收益(元/股)      4.0975      2.2924      2.2924  78.74%      0.7847      0.7847

加权平均净资产收益率        32.15%      21.99%      21.99%  10.16%        8.68%        8.68%

                                                              本年末

                                            2022 年末          比上年          2021 年末

                        2023 年末                              末增减

                                      调整前      调整后    调整后    调整前      调整后

资产总额(元)        3,890,408,2  2,270,529,8  2,270,949,3  71.31%  1,836,043,4  1,836,043,4
                            76.66        57.01        11.32                  39.91        39.91

归属于上市公司股东的  2,626,950,5  1,945,455,8  1,945,421,0  35.03%  1,589,660,1  1,589,660,1
净资产(元)                00.64        60.63        13.93                  99.06        99.06

  二、资产状况

                                                            单位:元

          项目                2023 年末          2023 年初      变动幅度

        货币资金              541,841,544.91    544,168,486.03      -0.43%

      交易性金融资产          716,605,544.51                  -        新增

        应收账款              441,441,023.76    291,446,112.80      51.47%

        预付款项                5,290,683.50      5,139,100.92      2.95%

        其他应收款              1,569,298.57        702,421.21    123.41%

          存货                425,266,473.45    453,717,598.37      -6.27%

      其他流动资产            108,245,513.98      35,922,697.16    201.33%

    其他非流动金融资产          21,035,991.38      9,126,438.34    130.50%

        固定资产              926,443,938.49    672,460,507.42      37.77%

        在建工程              473,240,642.43      62,412,717.72    658.24%

        使用权资产              6,242,467.79      3,028,673.38    106.11%

        无形资产              117,997,403.02      89,952,692.35      31.18%

      长期待摊费用            19,553,484.66      19,439,618.63      0.59%

      递延所得税资产            65,499,104.18      35,145,279.94      86.37%

      其他非流动资产            20,135,162.03      48,286,967.05    -58.30%

        资产合计            3,890,408,276.66  2,270,949,311.32      71.31%

  资产项目重大变动分析:

  1、交易性金融资产较期初增加 71,660.55 万元,主要系期末理财产品余额增加;

    2、应收账款较期初增加 51.47%,主要系本期销售额增加;

    3、其他应收款较期初增加 123.41%,主要系本期应收押金及保证金期末余
额增加;

    4、其他流动资产较期初增加 201.33%,主要系期末待抵扣税金增加;


    5、其他非流动金融资产较期初增加 130.50%,主要系本期实缴川流基金第
二期出资款;

    6、固定资产较期初增加 37.77%,主要系本期部分在建工程项目完工,转入
固定资产;

    7、在建工程较期初增加 658.24%,主要系安庆科思项目建设投入增加;
    8、使用权资产较期初增加 106.11%,主要系本期新增办公租赁,确认使用
权资产;

    9、无形资产较期初增加 31.18%,主要系本期取得国有建设用地使用权;
    10、递延所得税资产较期初增加 86.37%,主要系期末子公司可弥补亏损、
内部交易未实现利润增加;

    11、其他非流动资产较期初减少 58.30%,主要系期末与长期资产相关预付
款减少。

  三、负债状况

                                                            单位:元

          项目                2023 年末          2023 年初      变动幅度

        应付账款              363,046,477.37  191,951,741.61        89.13%

        合同负债                3,155,223.06    4,856,885.48      -35.04%

      应付职工薪酬            65,694,488.87    47,532,030.14        38.21%

        应交税费              57,910,418.41    37,124,202.09        55.99%

        其他应付款              1,433,812.40      299,768.21      378.31%

  一年内到期的非流动负债        2,962,589.97    1,848,871.04        60.24%

      其他流动负债                21,803.87        7,249.34      200.77%

        应付债券              621,601,281.83                -          新增

        租赁负债                2,710,904.52      818,262.52      231.30%

        递延收益              26,371,130.99    10,147,634.25      159.87%

      递延所得税负债          118,549,644.73    30,941,652.71      283.14%

        负债合计            1,263,457,776.02  325,528,297.39      288.13%

  负债项目重大变动分析:

  1、应付账款较期初增加 89.13%,主要系应付工程款项增加;

  2、合同负债较期初减少 35.04%,主要系期末预收货款减少;

  3、应付职工薪酬较期初增加 38.21%,主要系本期
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