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浙江交科:2023年度财务决算报告

公告日期:2024-04-30

浙江交科:2023年度财务决算报告 PDF查看PDF原文

          浙江交通科技股份有限公司

            2023 年度财务决算报告

    浙江交通科技股份有限公司(以下简称“公司”)2023 年 12 月 31 日的资产

负债表、2023 年度的利润表、现金流量表、所有者权益变动表以及财务报表附
注已经天健会计师事务所(特殊普通合伙)审计,并出具标准无保留意见的审计
报告,现将决算情况报告如下:

    一、主要财务指标

                                                                      单位:元

                                          2022 年              本年比上          2021 年

                                                              年增减

                  2023 年

                                  调整前        调整后      调整后    调整前      调整后

 营业收入      46,045,695,7  46,469,582,52  46,583,827,74    -1.16%  46,057,96  46,022,269,
                      04.67          6.83          9.36              4,738.04        620.73

 归属于上市    1,347,545,73  1,578,212,880  1,553,874,197            968,439,3  960,991,295
 公司股东的            1.23            .53            .08    -13.28%      47.18          .83
 净利润
 归属于上市

 公司股东的    1,291,424,28  1,280,526,866  1,288,186,651            957,008,7  955,536,735
 扣除非经常            0.54            .87            .05      0.25%      93.20          .37
 性损益的净
 利润

 经营活动产    571,390,330.  1,052,756,442  1,021,912,756            374,752,6  215,535,797
 生的现金流              08            .05            .79    -44.09%      60.95          .82
 量净额

 基本每股收          0.5200        0.9400        0.9300    -44.09%    0.7000        0.7000
 益(元/股)

 稀释每股收          0.5200        0.9400        0.9300    -44.09%    0.5600        0.5500
 益(元/股)

 加权平均净          9.85%        13.62%        13.37%    -3.52%    10.74%        10.61%
 资产收益率


                                                              本年末比

                                        2022 年末            上年末增        2021 年末

                2023 年末                                      减

                                  调整前        调整后      调整后    调整前      调整后

 总资产      69,356,155,95  58,379,003,94  58,965,673,55    17.62%  52,745,16  53,428,952,
                        7.25          6.06            2.68              3,478.06      666.53

 归属于上市  14,195,195,27  13,199,721,33  13,217,802,56            9,446,521  9,488,940,9
 公司股东的            9.97          9.67            9.00      7.39%    ,057.28        70.06
 净资产

  报告期内,公司实现营业收入 460.46 亿元,较上年同期下降 1.16%,主要

系上年化工板块 1-2 月产生营业收入 4.69 亿元。

  报告期内,公司实现归属于上市公司股东的净利润 13.48 亿元,较上年同期
下降 13.28%,主要系上年存在公司转让化工股权产生的投资收益,导致公司本年
非经常性损益金额较上年大幅下降。扣除非经常性损益后的归属于上市公司股东
的净利润 12.91 亿元,较上年同期增长 0.25%,基本保持稳定。

  报告期内,公司经营活动产生的现金流量净额为 5.71 亿元,较上年同期下
降 44.09%,主要系公司现金流的波动受计量款计量周期影响。

  截至报告期末,公司归属于上市公司股东的所有者权益为141.95亿元,较上
年末增长7.39%,主要系报告期内公司净利润增加;总资产为693.56亿元,较上
年末增长17.62%,除净利润的贡献外,主要系公司通过积极拓展业务渠道,扩大
市场份额,业务承接量增加的同时长期股权投资、长期应收款、固定资产、合同
资产、应收账款相应增加。

    二、公司分行业、产品的情况

                                                                      单位:元

                                                                主营业务    主营业  毛利率

                                                        毛利  收入比上    务成本  比上年

  2023 年度      主营业务收入      主营业务成本      率    年同期增    比上年  同期增

                                                                  减      同期增    减

                                                                              减

                                          分行业

 建筑施工行业  41,492,709,971.24  38,242,616,646.68  7.83%    0.56%      1.01%    -0.41%

 公路养护行业    4,119,849,429.19  3,732,581,078.78  9.40%    -8.78%    -12.00%  3.32%

    合计      45,612,559,400.43  41,975,197,725.45  7.97%    -1.37%    -1.26%  -0.12%

                                          分产品

  路桥工程    41,492,709,971.24  38,242,616,646.68  7.83%    0.56%      1.01%    -0.41%


  公路养护      4,119,849,429.19  3,732,581,078.78  9.40%    -8.78%    -12.00%  3.32%

    合计      45,612,559,400.43  41,975,197,725.45  7.97%    -1.37%    -1.26%  -0.12%

  报告期内,公司主营业务的平均毛利率为 7.97%,同比上年下降 0.12%,其中:建筑施工行业毛利率为 7.83%,同比下降 0.41%,主要系受行业特性影响,毛利率随着项目中标情况有所波动,公司本期在建项目毛利率较上年同期略有下降。公路养护行业毛利率 9.40%,同比上升 3.32%,主要系养护业务本年护栏工程占比上升,护栏工程毛利率较高。

    三、报告期末公司资产和负债构成

                                                                      单位:元

                      2023 年末                    2022 年末                      同比增减
                                  占总资                      占总资  比重增减    变动
                  金额          产比例          金额        产比例

货币资金    11,438,161,871.14    16.49%  11,335,305,989.67  19.22%    -2.73%      0.91%

应收账款      6,601,104,049.71    9.52%    5,813,474,590.24  9.86%    -0.34%    13.55%

应收款项融      108,845,678.61    0.16%      69,085,000.00  0.12%    0.04%    57.55%


合同资产    27,889,665,631.81    40.21%  22,211,848,924.61  37.67%    2.54%    25.56%

存货          1,840,028,603.78    2.65%    1,679,257,384.55  2.85%    -0.20%      9.57%

长期应收款      936,963,186.83    1.35%      440,409,611.85  0.75%    0.60%    112.75%

投资性房地        8,324,131.17    0.01%        6,768,676.92  0.01%    0.00%    22.98%


长期股权投    2,065,132,633.14    2.98%    1,624,431,820.43  2.75%    0.23%    27.13%


固定资产      3,347,722,502.04    4.83%    2,310,912,397.75  3.92%    0.91%    44.87%

在建工程   
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