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首页 公告 浙农股份:2023年度财务决算报告

浙农股份:2023年度财务决算报告

公告日期:2024-04-26

浙农股份:2023年度财务决算报告 PDF查看PDF原文

                    浙农集团股份有限公司

                  2023 年度财务决算报告

    一、2023年度公司财务报表的审计情况

  公司2023年财务报表已经天职国际会计师事务所(特殊普通合伙)审计,出具了标准无保留意见的审计报告。

    二、2023年公司财务状况分析

  (一)资产负债情况分析

  1、合并资产负债表主要数据

                                                                      单位:元

      项目              2023 年末            2023 年初      同比增减(%)

总资产                    20,313,353,249.60      19,604,145,837.71        3.62%

流动资产                  15,943,254,982.79      15,404,657,807.05        3.50%

应收账款                    859,076,107.70        957,646,875.75      -10.29%

应收款项融资                107,691,340.20          76,260,009.82        41.22%

预付款项                    2,701,808,775.13        3,190,129,797.38      -15.31%

存货                        5,961,680,918.65        5,067,924,492.77        17.64%

非流动资产                  4,370,098,266.81        4,199,488,030.66        4.06%

其他权益工具投资            708,874,960.00        724,462,800.00        -2.15%

固定资产                    1,061,193,426.70        1,048,162,283.65        1.24%

无形资产                    542,182,282.60        530,522,815.88        2.20%

总负债                    12,993,642,824.95      13,034,935,596.82        -0.32%

流动负债                  12,248,975,248.44      12,125,073,014.52        1.02%

短期借款                    2,436,063,951.86        2,415,301,268.43        0.86%

应付账款                    1,249,931,941.22        1,424,278,950.80      -12.24%

合同负债                    2,965,320,511.05        3,381,114,340.28      -12.30%

应交税费                    181,327,840.26        274,938,066.25      -34.05%

其他流动负债                229,728,278.41        268,354,288.53      -14.39%

非流动负债                  744,667,576.51        909,862,582.30      -18.16%

应付债券                              0.00        198,610,373.18      -100.00%

归属于母公司的所有          4,556,281,669.87        4,111,877,902.11        10.81%
者权益

股本                        522,515,799.00        502,123,615.00        4.06%

资本公积                    824,244,527.61        611,618,513.34        34.76%

  变动较大的资产负债项目说明如下:

  (1)应收款项融资增加主要是年末应收票据增加所致;

  (2)应交税费减少主要是本期应交企业所得税、增值税同比减少所致;
  (3)应付债券减少主要是本期可转债强赎,大量债券转股,剩余部分赎回所致;

  (4)资本公积增加主要是本期可转债强赎,大量债券转股股本溢价增加所致。

  (二)经营成果分析

  1、合并利润表主要数据

                                                                      单位:元

      项目                2023 年度              2022 年度        同比增减
                                                                      (%)

    营业收入              40,941,153,868.85      41,813,272,502.34      -2.09%

    营业成本              38,422,936,557.54      38,535,191,944.68      -0.29%

    税金及附加                  68,588,092.67          71,951,443.03      -4.67%

    销售费用                  752,227,125.74        817,393,155.53      -7.97%

    管理费用                  675,310,991.85        719,993,476.03      -6.21%

    财务费用                    -907,797.95          51,556,651.98    -101.76%

    其他收益                  123,024,443.58          82,712,235.71      48.74%

    投资收益                  34,650,351.51        118,910,649.26    -70.86%

 公允价值变动收益              -10,557,841.50          -8,294,093.62    -27.29%

  信用减值损失                -10,070,337.22          -8,792,615.36    -14.53%

  资产减值损失              -153,440,491.37        -142,646,713.44      -7.57%

  资产处置收益                63,430,382.64          35,278,642.72      79.80%

    营业利润                1,051,247,036.48        1,676,309,078.07    -37.29%

    营业外收入                  30,378,486.37          25,306,959.41      20.04%

    营业外支出                  15,043,254.87          20,256,696.29    -25.74%

    利润总额                1,066,582,267.98        1,681,359,341.19    -36.56%

    所得税费用                257,272,974.45        407,764,810.95    -36.91%

      净利润                  809,309,293.53      1,273,594,530.24    -36.45%

 归属于母公司所有者            380,944,589.50        609,794,643.57    -37.53%
    的净利润

基本每股收益(元/股)                    0.74                  1.24    -40.32%

  变动较大的利润表项目说明如下:

  (1)财务费用减少主要是本期受资管新规政策影响,公司调整资金管理策略,协定存款利息收入同比增加,以及可转债强赎事项致使利息支出同比减少所致;

  (2)其他收益增加主要是相关财政、税务等补助收益增加所致;

  (3)投资收益减少主要是权益法核算的长期股权投资收益减少,以及为合理控制投资风险减少理财产品投资相关收益减少所致;

  (4)资产处置收益增加主要是本期部分资产政府拆迁所致。

  2、营业收入构成

                                                                      单位:元

                      2023 年                    2022 年

                            占营业收入                占营业收入  同比增减
                  金额        比重        金额          比重

营业收入合计 40,941,153,868.85    100% 41,813,272,502.34      100%    -2.09%

分行业

农资综合服务 23,628,301,776.23    57.71% 23,337,543,882.23    55.81%      1.25%

汽车商贸服务 15,695,005,119.85    38.34% 16,585,433,483.67    39.67%    -5.37%

医药生物服务  1,617,846,972.77    3.95%  1,890,295,136.44      4.52%    -14.41%

分产品

化肥        20,412,323,985.81    49.86% 18,473,256,641.27    44.18%    10.50%

农药          1,500,737,103.94    3.67%  1,319,370,929.44      3.16%    13.75%

原材料        1,504,700,914.05    3.68%  3,347,594,296.44      8.01%    -55.05%

整车销售    12,787,663,410.14    31.23% 1
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