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津荣天宇:2023年度财务决算报告

公告日期:2024-04-09

津荣天宇:2023年度财务决算报告 PDF查看PDF原文

                天津津荣天宇精密机械股份有限公司

                        2023 年度财务决算报告

    天津津荣天宇精密机械股份有限公司(以下简称“公司”)财务报表,包括
2023 年 12 月 31 日的合并及母公司资产负债表,2023 年度的合并及母公司利润
表、合并及母公司现金流量表、合并及母公司股东权益变动表,以及相关财务报表附注已经公证天业会计师事务所(特殊普通合伙)审计,并出具了苏公W[2024]A230 号标准无保留意见的审计报告。
一、主要财务数据和指标

                      2023 年            2022 年        本年比上年增减        2021 年

营业收入(元)    1,526,626,377.63  1,428,548,105.24            6.87%  1,341,177,751.34

归属于上市公司股    92,105,666.36    83,340,238.33            10.52%    73,212,739.15
东的净利润(元)
归属于上市公司股

东的扣除非经常性    88,483,879.14    69,653,508.11            27.03%    64,877,116.41
损益的净利润(元)

经营活动产生的现    -28,176,852.76    127,414,475.68          -122.11%    16,274,663.82
金流量净额(元)

基本每股收益(元/              0.66              0.63            4.76%              0.61
股)

稀释每股收益(元/              0.66              0.63            4.76%              0.61
股)

加权平均净资产收            8.36%            9.22%            -0.86%            10.44%
益率

                      2023 年末          2022 年末      本年末比上年末增      2021 年末

                                                                减

资产总额(元)    1,999,706,854.42  1,412,851,326.07            41.54%  1,309,262,797.04

归属于上市公司股  1,151,329,059.70    937,837,282.40            22.76%    873,005,593.14
东的净资产(元)
二、资产及负债状况

                                                                    单位:元

                        2023 年末                      2023 年初              比重增减
                    金额        占总资产比例      金额        占总资产比例

货币资金      280,624,632.09        14.03%  239,907,621.81        16.98%        -2.95%

应收账款      394,487,568.82        19.73%  250,477,110.87        17.73%          2.00%

存货          411,853,720.02        20.60%  328,869,408.37        23.28%        -2.68%

长期股权投资    18,893,770.35          0.94%  32,383,540.89          2.29%        -1.35%

固定资产      346,589,486.60        17.33%  325,158,149.11        23.01%        -5.68%

在建工程      141,017,980.05          7.05%  17,224,832.41          1.22%          5.83%

使用权资产      30,146,117.62          1.51%  24,173,203.02          1.71%        -0.20%

 短期借款      339,699,559.84        16.99%  132,558,468.28          9.38%          7.61%

 合同负债        11,891,647.72          0.59%    7,763,808.76          0.55%          0.04%

 长期借款        10,873,310.10          0.54%                          0.00%          0.54%

 租赁负债        18,937,807.18          0.95%  13,636,138.28          0.97%        -0.02%

 三、2023 年度经营成果

                                                                    单位:元

                        2023 年                      2022 年                本年比上年增减

营业收入                    1,526,626,377.63            1,428,548,105.24                      6.87%

营业成本                    1,217,715,708.75            1,178,679,704.62                      3.31%

销售费用                      15,708,060.93                7,433,788.15                    111.31%

管理费用                    101,744,717.78              83,606,561.77                      21.69%

财务费用                      4,073,386.14                  925,050.19                    340.34%

研发费用                      69,440,180.13              61,268,370.30                      13.34%

 净利润                      86,842,434.73              83,326,150.17                      4.22%

 四、2023 年度现金流分析

                                                                      单位:元

        项目                  2023 年                2022 年                同比增减

 经营活动现金流入小计        1,593,139,262.47      1,565,999,219.54                  1.73%

 经营活动现金流出小计        1,621,316,115.23      1,438,584,743.86                12.70%

 经营活动产生的现金流        -28,176,852.76        127,414,475.68              -122.11%

 量净额

 投资活动现金流入小计          258,949,512.66        114,030,674.72                127.09%

 投资活动现金流出小计          549,952,938.59        268,994,686.92                104.45%

 投资活动产生的现金流        -291,003,425.93        -154,964,012.20                -87.79%

 量净额

 筹资活动现金流入小计          605,286,418.90        165,163,728.84                266.48%

 筹资活动现金流出小计          245,587,856.37        180,543,691.46                36.03%

 筹资活动产生的现金流        359,698,562.53        -15,379,962.62              2,438.75%

 量净额

 现金及现金等价物净增          40,716,486.71        -39,237,672.41                203.77%

 加额

                              天津津荣天宇精密机械股份有限公司董事会
                                                      2024 年 4 月 8 日
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