联系客服

301292 深市 海科新源


首页 公告 海科新源:2023年度财务决算报告

海科新源:2023年度财务决算报告

公告日期:2024-04-20

海科新源:2023年度财务决算报告 PDF查看PDF原文

          山东海科新源材料科技股份有限公司

                2023年度财务决算报告

  山东海科新源材料科技股份有限公司(以下简称“公司”)截至2023年12月31日资产负债表、利润表、现金流量表、所有者权益变动表及相关报表附注已经立信会计师事务所(特殊普通合伙)依照中国注册会计师独立审计准则审计验证,并出具了标准无保留意见的审计报告。经审计的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日的合并及母公司财务状况以及2023年度的合并及母公司经营成果和现金流量。公司2023年度财务决算情况报告如下:

  一、基本情况

  报告期内,公司实现营业总收入3,362,583,572.38元,同比增长11.01%;归属于上市公司股东的净利润31,622,722.39元,同比减少88.86%;归属于上市公司股东的扣除非经常性损益的净利润13,130,877.41元,同比减少95.22%。报告期末,公司资产总额6,967,949,464.71元,同比增长33.16%;归属于上市公司股东的净资产
3,125,401,336.58元,同比增长49.14%。

  二、主要财务比率

        序号                指标名称                  2023年度            2022年度

          1                每股收益(元)                  0.17                1.70

          2              销售毛利率(%)                  8.45                20.01

          3                流动比率(%)                  107.01              87.61

          4              资产负债率(%)                  53.02              56.83

          5              应收账款周转率                  4.86                5.81

          6                存货周转率                    13.85              15.48

  主要财务指标变动及原因:

  2023年每股收益0.17元,比上期每股收益1.70元减少1.53元。

  2023年销售毛利率8.45%,比上期20.01%降低11.56个百分点。因受产品市场价格影响,毛利较去年降低。

  2023年资产负债率53.02%,比上期56.83%降低3.81个百分点,主要系公司新建

  项目资产总额增加。

      2023年应收账款周转率4.86,比上期5.81降低0.95。

      2023年存货周转率13.85,比上期15.48降低1.63。

      三、财务状况

      1、报告期末公司资产构成同比发生重大变动的说明

                                                                    单位:万元 币种:人民币

                                              本期期末数占                  上期期末数占  本期期末金额
            项目                本期期末数    总资产的比%    上期期末数    总资产的比%  较上期期末变
                                                                                                动比%

流动资产:                          -                            -

货币资金                        101,136.19      14.51        56,459.36        10.79          79.13

交易性金融资产                  12,151.59        1.74          0.51            0.00            /

应收票据                        17,485.84        2.51        26,278.28        5.02          -33.46

应收账款                        78,043.03        11.20        67,603.61        12.92          15.44

减:应收账款坏账准备            3,902.23        0.56        3,395.24          0.65          14.93

应收账款净额                    74,140.81        10.64        64,208.38        12.27          15.47

应收款项融资                    33,431.69        4.80        19,882.46        3.80          68.15

减:应收款项融资坏账准备            -              -              -              -              -

应收款项融资净额                33,431.69        4.80        19,882.46        3.80          68.15

应收利息                          -              -              -              -              -

预付款项                        10,323.77        1.48        7,790.73          1.49          32.51

其他应收款                        463.14          0.07          308.90          0.06          49.93

减:其他应收款坏账准备            160.47          0.02          21.40          0.00          649.87

其他应收款净额                    302.67          0.04          287.50          0.05          5.27

存货                            23,181.30        3.33        23,482.11        4.49          -1.28

减:存货跌价准备                  135.07          0.02        2,077.23          0.40          -93.50

存货净额                        23,046.23        3.31        21,404.88        4.09          7.67

一年内到期的非流动资产              -              -              -              -              -

其他流动资产                    21,505.94        3.09        9,071.03          1.73          137.08

流动资产合计                    293,524.72      42.12      205,383.13        39.25          42.92

非流动资产:                        -              -              -              -              -

固定资产原价                    301,442.47      43.26      239,630.68        45.79          25.79

减:累计折旧                    57,863.37        8.30        38,346.53        7.33          50.90

固定资产净值                    243,579.10      34.96      201,284.15        38.47          21.01

固定资产净额                    243,579.10      34.96      201,284.15        38.47          21.01

在建工程                        115,173.45      16.53        55,953.62        10.69        105.84

在建工程净额                    115,173.45      16.53        55,953.62        10.69        105.84

使用权资产                    6,670.78        0.96        7,945.78          1.52          -16.05

工程物资                            -              -              -              -              -

无形资产                        18,405.58        2.64        17,390.55        3.32          5.84

减:累计摊销                    1,731.19        0.25        1,041.38          0.20          66.24

无形资产净值                    16,674.40        2.39        16,349.17        3.12          1.99

无形资产净额                    16,674.40        2.39        16,349.17        3.12          1.99


递延所得税资产                    472.43          0.07          203.04          0.04          132.68

其他非流动资产                  19,482.32        2.80        36
[点击查看PDF原文]