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比依股份:2023年度财务决算报告

公告日期:2024-04-25

比依股份:2023年度财务决算报告 PDF查看PDF原文

              2023 年度财务决算报告

  浙江比依电器股份有限公司(以下简称“公司”)2023 年度财务报表已经中汇会计师事务所(特殊普通合伙)审计,并出具标准无保留意见的审计报告。结合公司实际运营中的具体情况,现将 2023 年度财务决算报告汇总如下:

  2023 年,公司实现营业收入 1,559,517,744.04 元,同比上升 4.02%;实现归
属于上市公司股东的净利润 201,781,543.67 元,实现基本每股收益 1.08 元。

    一、2023 年度公司主要会计数据和财务指标

          项目                2023 年度        2022 年度    变动比例(%)

营业收入                      1,559,517,744.04  1,499,207,037.59        4.02

归属于上市公司股东的净利润    201,781,543.67    178,030,825.32        13.34

归属于上市公司股东的扣除非经

                              192,990,999.28    167,004,422.92        15.56

常性损益的净利润(元)

经营活动产生的现金流量净额    443,020,489.70    196,264,308.68        125.73

基本每股收益(元/股)              1.08            1.00            8.00

稀释每股收益(元/股)              1.08            1.00            8.00

扣除非经常性损益后的基本每股

                                  1.03            0.93            10.75

收益(元/股)

加权平均净资产收益率(%)        19.27            21.24      减少1.97个百分点

扣除非经常性损益后的加权平均                                  减少1.49个百分点
                                  18.43            19.92

净资产收益率(%)

    二、资产及负债情况

                        本期期末数                上期期末数  本期期末金额较
项目名称  本期期末数  占总资产的  上期期末数  占总资产的  上期期末变动比
                        比例(%)                比例(%)    例(%)

货币资金  315,566,356.96    19.01    204,176,522.40    13.44        54.56

交易性金

          180,504,500.00    10.87    303,712,352.02    19.99        -40.57

 融资产


应收票据  4,199,515.60      0.25      23,773,197.10    1.57        -82.34

应收账款  301,989,712.24    18.19    423,719,105.84    27.89        -28.73

预付账款  19,216,072.61      1.16      13,085,874.83    0.86          46.85

其他应收

          17,089,910.50      1.03      15,281,082.04    1.01          11.84
  款

 存货    169,621,848.58    10.22    176,258,152.06    11.60        -3.77

其他流动

          59,506,528.54      3.58      3,463,915.87      0.23        1617.90
 资产

债权投资  30,072,875.00      1.81          -            -          不适用

长期股权

          9,380,292.21      0.57          -            -          不适用
 投资

固定资产  264,715,909.85    15.95    245,126,205.31    16.14          7.99

在建工程  67,571,214.52      4.07          -            -          不适用

使用权资

          7,820,739.84      0.47      6,976,135.41      0.46          12.11
  产

无形资产  179,592,875.80    10.82    100,536,958.80    6.62          78.63

长期待摊

            450,621.35      0.03          -            -          不适用
 费用
递延所得

          3,275,860.43      0.20      2,383,940.73      0.16          37.41
 税资产
其他非流

          29,586,333.27      1.78      532,990.00      0.04        5,451.01
 动资产
交易性金

                -            -      1,443,136.32      0.10        不适用
 融负债

应付票据  216,676,000.00    13.05    101,980,000.00    6.71        112.47

应付账款  243,222,719.40    14.65    333,880,282.78    21.98        -27.15

合同负债  9,502,262.83      0.57      11,169,923.83    0.74        -14.93

应付职工

          29,375,338.52      1.77      27,638,531.69    1.82          6.28
 薪酬


应交税费  8,243,745.24      0.50      4,237,240.55      0.28          94.55

其他应付

          16,238,423.29      0.98      2,439,513.67      0.16        565.64

  款
一年内到

期的非流  3,440,758.43      0.21      2,700,267.40      0.18          27.42

 动负债
其他流动

          4,456,086.78      0.27      23,867,990.51    1.57        -81.33

  负债

租赁负债  3,644,766.55      0.22      3,570,220.97      0.24          2.09

递延收益  9,334,961.06      0.56      9,126,008.30      0.60          2.29

    三、2023 年度经营成果分析

          科目                  本期数        上年同期数    变动比例(%)

        营业收入            1,559,517,744.04  1,499,207,037.59        4.02

        营业成本            1,228,726,745.08  1,206,121,802.99        1.87

        销售费用            17,266,985.75    17,160,769.42        0.62

        管理费用            49,282,329.41    39,573,151.17        24.53

        财务费用            -28,882,911.97    -32,581,431.59        -11.35

        研发费用            64,903,323.16    64,459,845.12        0.69

    四、2023 年度现金流分析

科目                            本期数        上年同期数    变动比例(%)

经营活动产生的现金流量净额    443,020,489.70    196,264,308.68        125.73

投资活动产生的现金流量净额    -225,463,526.80    -388,828,667.47      不适用

筹资活动产生的现金流量净额    -78,416,991.38    269,147,216.24      -129.14

                                            浙江比依电器股份有限公司
                                                              董事会
                                                    2024 年 4 月 24 日
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