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正强股份:2023年度财务决算报告

公告日期:2024-04-22

正强股份:2023年度财务决算报告 PDF查看PDF原文

                        杭州正强传动股份有限公司

                          2023 年度财务决算报告

              杭州正强传动股份有限公司(以下简称“公司”)2023年12月31日合并及母公

          司资产负债表、2023年度合并及母公司利润表、2023年度合并及母公司现金流量

          表、2023年度合并及母公司股东权益变动表及相关报表附注已经天健会计师事务

          所(特殊普通合伙)审计。

              现结合公司实际情况,将公司 2023 年度财务决算报告汇报如下:

              一、2023 年公司基本情况

              随着国际环境的深刻复杂变化和国内经济社会运行的新挑战,公司积极应对,

          紧密围绕年初既定的战略发展目标,公司管理团队和全体员工凝心聚力,全力以

          赴推动各项工作落地成效,确保了公司生产经营总体平稳的发展态势。

              2023 年,公司全年实现营业收入 41,741.39 万元,同比下降 2.43%,实现净

          利润 9,691.89 万元,同比下降 1.15%。截至报告期末,公司总资产为 115,793.89

          万元,同比增长 6.13%;归属于上市公司股东的所有者权益为 95,469.12 万元,

          同比增长 9.76%。

              二、2023 年财务执行情况

                                                                                                单位:万元

                                                2022 年                本年比上年增                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)      417,413,947.34      427,794,681.02      427,794,681.02        -2.43%    354,105,954.56    354,105,954.56

归属于上市公

司股东的净利        96,918,907. 53        98,043,105.65      98,043,105. 65        -1.15%      53,009,076.91      53,009,076.91
润(元)
归属于上市公

司股东的扣除        96,141,890. 07        86,038,918.59      86,050,443. 22        11.73%      51,184,148.96      51,645,237.54
非经常性损益
的净利润(元)
经营活动产生

的现金流量净        118,986,028. 78      193,780,280.92      193,780,280.92        -38.60%      42,620,126.69      42,620,126.69
额(元)

基本每股收益                0.93                0.93              0.93        0.00%              0.86              0.86
(元/股)

稀释每股收益                0.93                0.93              0.93        0.00%              0.86              0.86
(元/股)


加权平均净资            10.64%            11.95%            11.95%        -1.31%          10.92%          10.92%
产收益率

                                                2022 年末                本年末比上年              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)    1,157,938,906.12      1,091,009,238.00    1,091,009,238.00        6.13%    866,783,076.05    866,783,076.05

归属于上市公

司股东的净资        954,691,232.70      869,772,325.17      869,772,325.17        9.76%    777,729,219.52    777,729,219.52
产(元)

              相关数据同比发生重大变动的主要影响因素说明:2023年公司产品结构未发

          生重大变化,公司营业收入、净利润小幅下降,扣除非经常性损益的净利润上升

          较多,主要业绩影响因素为:宏观环境层面,包含全球及国内经济发展和全球产

          业转移、新能源汽车市场发展以及消费市场的结构性调整等;公司内部层面,数

          字化、智能化管理推动生产力水平的提高,新型轻量化节叉产品研发能力的创新

          等;此外,报告期内,大宗商品价格下跌、公司理财及汇率产生的收益为公司业

          绩提供了有力支撑。

          三、主要财务指标及分析

              1、资产负债构成重大变动情况

                                      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        791,003,010.20        68.31%  700,189,672.50        64.18%          4.13%

              应收账款        112,783,981.14          9.74%  119,617,775. 52        10.96%        -1.22%

              合同资产                              0.00%                        0.00%          0.00%

              存货            68,229,502.36          5.89%    74,302,480.92          6.81%        -0.92%

              投资性房地产      1,346,635.36          0.12%    1,509,174.58          0.14%        -0.02%

              长期股权投资                          0.00%                        0.00%          0.00%

              固定资产        96,838,547.01          8.36%    96,827,785.24          8.88%        -0.52%

              在建工程          966,645.24          0.08%    8,391,082.57          0.77%        -0.69%

              使用权资产        142,903.90          0.01%      485,872.90          0.04%        -0.03%

              短期借款        15,737,380.53          1.36%    23,000,000.00          2.11%        -0.75%

              合同负债          4,697,917.87          0.41%    5,545,701.09          0.51%        -0.10%

              2、费用变动情况分析

                                            2023 年                2022 年                同比增减

              销售费用                          9,548,396.79            10,472,614. 04                -8.83%

              管理费用                          14,959,048.66            13,833,293. 83                  8.14%

              财务费用                        -18,780,435.47            -15,855,354. 87                18.45%

              研发费用                          18,019,995.62            19,068,302. 55                -5.50%


    3、现金流变动情况分析

        项目                  2023 年                2022 年                同比增减

经营活动现金流入小计            471,069,665.75          453,093,763.30                  3.97%

经营活动现金流出小计            352,083,636.97          259,313,482.38                35.78%

经营活动产生的现金流            118,986,028. 78          193,
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