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首页 公告 新易盛:2023年度财务决算报告

新易盛:2023年度财务决算报告

公告日期:2024-04-23

新易盛:2023年度财务决算报告 PDF查看PDF原文

            成都新易盛通信技术股份有限公司

                2023 年度财务决算报告

  成都新易盛通信技术股份有限公司(以下简称“公司”)2023 年度财务报表已经信永中和会计师事务所(特殊普通合伙)审计,并出具了标准无保留意见的审计报告,现将财务决算(合并报表数)情况报告如下:

    一、 主要会计数据

                                                      单位:人民币元

            项目                  本报告期          上年同期      变动幅度

 营业收入                      3,097,605,750.52  3,310,573,790.53    -6.43%

 归属于上市公司股东的净利润      688,361,095.12    903,581,090.81    -23.82%

 归属于上市公司股东的扣除非经    677,639,230.06    783,800,736.37    -13.54%
 常性损益的净利润

 基本每股收益                              0.97            1.27 注    -23.62%

 稀释每股收益                              0.97            1.27 注    -23.62%

 加权平均净资产收益率                    13.36%            20.73%    -7.37%

 归属于上市公司股东的净资产    5,465,978,473.54  4,829,167,615.85    13.19%

注:报告期内因资本公积转增股本,按最新股本调整上年同期每股收益和稀释每股收益。

    二、财务状况、经营成果和现金流量分析

  1、资产、负债、所有者权益项目变化情况及重大变化的原因

                                                      单位:人民币元

          资产                报告期末          报告期初        变动幅度

 货币资金                  2,515,323,176.61  1,784,968,530.53          40.92%

 应收票据                    25,988,056.33    33,464,991.31        -22.34%

 应收账款                    715,139,103.21    661,963,107.43          8.03%

 应收款项融资                  1,963,224.69    41,799,018.66        -95.30%

 预付款项                      8,293,693.31      3,898,052.98        112.77%

 其他应收款                  10,005,031.64      8,541,839.33          17.13%

 存货                        963,348,198.68  1,469,203,587.93        -34.43%

 其他流动资产                95,353,144.30    201,526,931.88        -52.68%

 其他非流动金融资产          55,500,821.93    79,254,284.56        -29.97%

 固定资产                  1,310,388,088.04    661,022,315.83          98.24%

 在建工程                    49,159,263.00    371,521,696.15        -86.77%

 使用权资产                  19,138,090.10    22,061,928.12        -13.25%


 无形资产                    193,070,444.32    177,165,082.53          8.98%

 商誉                        201,572,522.49    201,572,522.49          0.00%

 递延所得税资产              71,320,118.30    56,437,769.30          26.37%

 其他非流动资产              118,491,983.30    101,659,837.26          16.56%

 交易性金融负债              55,078,543.60    77,371,628.81        -28.81%

 应付票据                    34,377,999.19    169,027,573.70        -79.66%

 应付账款                    598,177,178.18    436,135,030.75          37.15%

 合同负债                    13,751,980.57    24,898,724.70        -44.77%

 应付职工薪酬                75,928,286.02    123,271,820.09        -38.41%

 应交税费                    66,467,349.01    43,849,537.02          51.58%

 其他应付款                    7,850,337.11    41,658,033.84        -81.16%

 一年内到期的非流动负债        3,777,264.13      3,148,507.72          19.97%

 其他流动负债                11,977,999.21    12,371,310.27          -3.18%

 租赁负债                    17,104,145.23    19,108,447.65        -10.49%

 递延收益                    12,416,484.70    15,049,414.31        -17.50%

 递延所得税负债              37,755,702.99    42,318,037.17        -10.78%

 其他非流动负债              39,341,816.86    38,685,814.41          1.70%

 股本                        709,919,026.00    507,086,219.00          40.00%

 资本公积                  1,530,788,119.30  1,727,086,902.67        -11.37%

 减:库存股                      129,874.40        129,874.40          0.00%

 其他综合收益                  8,700,305.56      2,892,232.23        200.82%

 盈余公积                    159,280,734.51    133,371,823.04          19.43%

 未分配利润                3,057,420,162.57  2,458,860,313.31          24.34%

  (1)货币资金增加 40.92%,主要系本报告期购买商品、接受劳务支付的现金减少;

  (2)应收款项融资减少 95.30%,主要系本报告期末以票据结算的应收款项减少;

  (3)预付款项增加 112.77%,主要系报告期内原材料预付款增加;

  (4)存货减少 34.43%,主要系 2023 年下半年销售增长,期末存货下降;
  (5)其他流动资产减少 52.68%,主要系报告期内银行理财产品减少;
  (6)固定资产增加 98.24%,主要系报告期内高速率光模块生产线项目建筑工程达到转固条件由在建工程转入固定资产;

  (7)在建工程减少 86.77%,主要系报告期内高速率光模块生产线项目建筑工程达到转固条件由在建工程转入固定资产;

  (8)应付票据减少 79.66%,主要系本报告期末以票据结算的应付款项减少;

  (9)应付账款增加 37.15%,主要系本报告期末备货,应付材料款增加;

  (10)合同负债减少 44.77%,主要系本报告期内预收款项减少;

  (11)应付职工薪酬减少 38.41%,主要系本报告期末未付的薪酬减少;
  (12)应交税费增加 51.58%,主要系本报告期末应交企业所得税增加;
  (13)其他应付款减少 81.16%,主要系本报告期内确认 Alpine 实现 2022
年业绩目标及技术目标,已支付相应的收购款;

  (14)股本增加 40.00%,主要系本报告期内资本公积转增股本;

  (15)其他综合收益增加 200.82%,主要系本报告期内外币折算影响。

    2、损益项目变化情况及重大变化的原因

                                                    单位:人民币元

          项 目                  本报告期            上年同期      变动幅度

 营业收入                      3,097,605,750.52  3,310,573,790.53    -6.43%

 营业成本                      2,137,656,377.16  2,096,858,542.63    1.95%

 税金及附加                        16,807,480.35      7,386,815.52  127.53%

 销售费用                          37,571,975.78    52,507,976.12  -28.45%

 管理费用                          76,212,945.52    84,517,117.97    -9.83%

 研发费用                        133,774,501.55    187,241,361.94  -28.56%

 财务费用                        -108,243,948.94  -124,517,482.40  -13.07%

 其他收益                          12,832,418.37    17,730,561.01  -27.63%

 投资收益(损失以“-”号          2,684,186.25    105,075,642.60  -9
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