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首页 公告 飞天诚信:2023年度财务决算报告

飞天诚信:2023年度财务决算报告

公告日期:2024-04-03

飞天诚信:2023年度财务决算报告 PDF查看PDF原文

                飞天诚信科技股份有限公司

                2023 年度财务决算报告

      飞天诚信科技股份有限公司(以下简称“公司”)2023 年度财务报表按照企

  业会计准则的规定编制,经天职国际会计师事务所(特殊普通合伙)审计并出具

  天职业字[2024]23176 号标准无保留意见的审计报告。现将财务决算情况报告如

  下::

      一、主要财务数据和指标

                                                              本年比

                                        2022 年              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      738,554,024.76    867,682,665.08    867,682,665.08  -14.88%    779,305,235.51    779,305,235.51
(元)
归属于上

市公司股      -171,778,655.98  -120,989,733.14  -120,732,368.69  -42.28%    -48,871,197.45    -49,008,595.68
东的净利
润(元)
归属于上
市公司股
东的扣除

非经常性      -177,877,417.48  -122,304,564.51  -121,888,793.33  -45.93%    -57,745,813.60    -57,655,326.01
损益的净
利润
(元)
经营活动

产生的现      -11,568,182.95  -171,318,990.69  -171,318,990.69  93.25%      8,917,580.37      8,917,580.37
金流量净
额(元)
基本每股

收益(元/            -0.41            -0.29            -0.29  -41.38%            -0.12            -0.12
股)
稀释每股

收益(元/            -0.41            -0.29            -0.29  -41.38%            -0.12            -0.12
股)
加权平均

净资产收            -10.56%          -6.89%          -6.87%    -3.69%          -2.65%          -2.65%
益率

                                                              本年末

              2023 年末                2022 年末              比上年              2021 年末

                                                              末增减

                                调整前          调整后      调整后      调整前          调整后

资产总额    1,741,800,258.86  1,889,811,168.34  1,889,944,743.0    -7.84%  2,038,813,808.93  2,038,730,860.49
(元)                                                    7

归属于上

市公司股    1,542,581,656.08    1,710,326,285.5  1,710,445,995.9    -9.81%  1,813,891,902.40  1,813,754,504.17
东的净资                                  2              8

产(元)

      二、2023 年资产负债情况

          项目        2023 年 12 月 31  2023 年 1 月 1 日  本年比上        重大变动说明

                          日(元)          (元)      年增减

    货币资金            313,384,503.84    424,659,995.40  -26.20%

    交易性金融资产                            164,606.89  -100.00%  主要系认股权证到期所致

    应收票据              5,618,302.40      5,656,659.00    -0.68%

    应收账款              92,762,771.59      91,566,969.72    1.31%

    预付款项                                                      主要系预付款模式下的采购

                            30,834,504.90      62,935,762.88  -51.01%  需求减少所致

    其他应收款            10,744,687.46      11,542,470.80    -6.91%

    存货                271,875,121.58    349,479,190.39  -22.21%

                                                                    主要系瑞福达股权回购事项

    持有待售资产          35,847,691.95                      ——  尚未完成,本期将其转至持

                                                                    有待售资产核算所致

    其他流动资产                                                  主要系增加现金管理投资所

                          313,408,932.64    125,570,632.25  149.59%  致

      流动资产合计      1,074,476,516.36                      0.27%

                                          1,071,576,287.33

                                                                    主要系瑞福达股权回购事项

    长期股权投资          3,498,562.95      43,946,863.45  -92.04%  尚未完成,本期将其转至持

                                                                    有待售资产核算所致

    其他权益工具投                                                主要系其他权益工具投资公

    资                    8,937,160.86      6,315,235.88    41.52%  允价值增加所致

    固定资产              15,159,790.70      16,689,610.47    -9.17%

    在建工程              1,401,559.18      1,191,879.87    17.59%

    使用权资产                                                    主要系使用权资产累计折旧

                            16,546,044.34      28,819,766.02  -42.59%  增加以及租赁解约所致

    无形资产              6,850,833.86      10,110,177.10  -32.24%  主要系累计摊销增加所致

    商誉                                                          主要系计提商誉减值准备所

                            70,235,411.39      91,411,565.76  -23.17%  致

    长期待摊费用          3,610,794.06      6,332,599.51  -42.98%  主要系摊销金额增加所致

                                                                    主要系子公司宏思电子本报

    递延所得税资产                                                告期不再确认递延所得税资

                              183,524.58      6,778,047.21  -97.29%  产,并转回以前年度已确认

                                                                    递延所得税资产所致

    其他非流动资产      540,900,060.58    606,772,710.47  -10.86%


    项目        2023 年 12 月 31  2023 年 1 月 1 日  本年比上        重大变动说明

                    日(元)          (元)      年增减

 非流动资产合计      667,323,742.50    818,368,455.74  -18.46%

  资产总计        1,741,800,258.86                    -7.84%

                                    1,889,944,743.07

应付账款                                                      主要系应付芯片货款增加所
                      81,067,048.91      55,012,292.15    47.36%  致

预收款项              10,000,000.00                      ——  
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