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海泰科:2023年度财务决算报告

公告日期:2024-04-23

海泰科:2023年度财务决算报告 PDF查看PDF原文

              青岛海泰科模塑科技股份有限公司

                    2023年度财务决算报告

  青岛海泰科模塑科技股份有限公司2023年度财务报表按照《企业会计准则》的规定编制,在所有重大方面公允反映了公司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,并已经中兴华会计师事务所(特殊普通合伙)审计,出具了中兴华审字(2024)第030104号标准无保留意见的审计报告,现将决算报告情况报告如下:
一、主要财务数据和财务指标

                                                            本年比

              2023 年                  2022 年              上年增              2021 年

                                                              减

                              调整前          调整后      调整后      调整前          调整后

 营业收

 入        572,438,348.90  500,318,854.64  500,318,854.64  14.41%  592,337,170.67  592,337,170.67
 (元)
 归属于
 上市公

 司股东    23,286,753.69    54,366,006.37    54,366,006.37  -57.17%    60,323,382.91    60,323,382.91
 的净利
 润
 (元)
 归属于
 上市公
 司股东
 的扣除

 非经常    16,763,649.22    37,832,858.59    37,832,858.59  -55.69%    32,261,060.00    32,261,060.00
 性损益
 的净利
 润
 (元)
 经营活
 动产生

 的现金    -42,876,432.64    -9,648,432.49    -9,648,432.49        -    60,409,128.76    60,409,128.76
 流量净                                                    344.39%

 额
 (元)
 基本每

 股收益          0.2799          0.8495          0.6534  -57.16%          0.7250          0.7250
 (元/
 股)
 稀释每

 股收益          0.2796          0.8495          0.6534  -57.21%          0.7250          0.7250
 (元/
 股)

 加权平            2.46%          6.20%          6.20%  -3.74%          9.98%          9.98%
 均净资

 产收益
 率

                                                            本年末

            2023 年末                2022 年末            比上年            2021 年末

                                                            末增减

                              调整前          调整后      调整后      调整前          调整后

 资产总

 额      1,850,347,745.42  1,329,488,476.55  1,330,414,119.40  39.08%  1,296,222,023.30  1,296,222,023.30
 (元)
 归属于
 上市公

 司股东  1,006,099,194.22  899,065,044.97  899,065,044.97  11.91%  860,653,347.80  860,653,347.80
 的净资
 产
 (元)
二、基本财务状况、经营成果情况和现金流量情况分析

  (一)资产及负债状况分析

                                                                                            单位:元

                      2023 年末              2023 年初        比重增

                  金额      占总资      金额      占总资    减            重大变动说明

                              产比例                  产比例

 货币资金      111,030,868.17    6.00%  155,760,412.97  11.71%    -5.71%  主要系前报告期期末资金用
                                                                        于购买理财所致

                                                                        主要系本报告期收入增加应
 应收账款      341,343,504.65  18.45%  220,629,791.77  16.58%    1.87%  收账款增加,及有反向保理
                                                                        未提前融资所致

 合同资产                                                        0.00%

                                                                        主要系本报告期受生产周期
 存货          458,184,108.90  24.76%  369,572,944.53  27.78%    -3.02%  及验收周期影响,存货增加
                                                                        所致

 投资性房地                                                      0.00%

 产

 长期股权投                                                      0.00%

 资

 固定资产      386,440,355.53  20.88%  176,108,891.19  13.24%    7.64%  主要系本报告期首募在建工
                                                                        程验收及设备验收所致

 在建工程                              66,449,586.39  4.99%    -4.99%  主要系本报告期首募项目转
                                                                        固所致

 使用权资产      6,220,442.52    0.34%    4,628,214.24  0.35%    -0.01%  本报告期变化不大

 短期借款                                                        0.00%

 合同负债      246,340,159.34  13.31%  144,211,503.44  10.84%    2.47%  主要系本报告期新增订单较
                                                                        多,预收账款增加所致

 长期借款                                                        0.00%

 租赁负债        1,875,742.65    0.10%    2,853,205.05  0.21%    -0.11%  本报告期变化不大

 交易性金融    331,333,462.06  17.91%  122,428,317.81  9.20%    8.71%  主要系本报告期发行可转债
 资产                                                                    闲置资金购买理财所致

 其他非流动    70,801,558.79    3.83%  113,654,022.39  8.54%    -4.71%  主要系本报告期 IPO 募投项
 资产                                                                    目设备已验收所致


应付票据      79,037,929.14    4.27%  92,060,756.87  6.92%    -2.65%  主要系本报告期应付票据未
                                                                        到期承兑减少所致

应付账款      135,154,365.31    7.30%  130,130,453.36  9.78%    -2.48%  主要系本报告期应付供应商
                                                                        货款

应付债券      277,824,981.22    15.1%                            15.1%  主要系本报告期发行可转换
                                                                        公司债券所致

  (二)经营成果情况分析

  1.营业收入分析:

                                                                                          单位:元

                            2023 年                          2022 年                同比增减

                    金额      占营业收入比重      金额      占营业收入比重

营业收入合计      
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