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首页 公告 善水科技:2023年度财务决算报告

善水科技:2023年度财务决算报告

公告日期:2024-04-23

善水科技:2023年度财务决算报告 PDF查看PDF原文

                  2023年度财务决算报告

  九江善水科技股份有限公司(以下简称“公司”)根据《企业会计准则》《公司章程》等的有关规定,已完成 2023 年度财务决算工作,现将有关情况报告如下:
    一、公司 2023 年度主要会计数据和财务指标

  公司主要财务指标及其同期比较情况如下表所示:

                                                                      单位:元

                      2023 年                2022 年          本年比上          2021 年

                                                            年增减

营 业 收 入        495,286,440.12        400,436,448.48      23.69%      552,342,767.81
(元)
归 属 于 上 市

公 司 股 东 的        21,054,499.99        100,400,903.87      -79.03%      142,372,110.77
净利润(元)
归 属 于 上 市
公 司 股 东 的

扣 除 非 经 常        115,373,183.55        81,223,718.68      42.04%      135,779,284.93
性 损 益 的 净
利润(元)
经 营 活 动 产

生 的 现 金 流        13,975,199.53        94,708,909.07      -85.24%      101,237,512.23
量净额(元)

基 本 每 股 收                0.0981                0.4678      -79.03%              0.8844
益(元/股)

稀 释 每 股 收                0.0981                0.4678      -79.03%              0.8844
益(元/股)

加 权 平 均 净                1.02%                4.96%      -3.94%              27.43%
资产收益率

                  2023 年末              2022 年末        本年末比上年      2021 年末

                                                            末增减

资 产 总 额      2,451,410,876.03      2,247,441,733.46        9.08%    2,220,602,138.72
(元)
归 属 于 上 市

公 司 股 东 的      2,023,840,457.76      2,043,908,092.71      -0.98%    1,974,625,898.93
净资产(元)


    二、资产及负债状况分析

                                                            单位:元

                      2023 年末                          2023 年初

                                                                                  比重增减

                  金额        占总资产比例        金额        占总资产比例

 货币资金      1,330,954,700.18      54.29%      1,329,885,519.16      59.17%      -4.88%

 应收账款          6,755,283.35      0.28%            537,411.13      0.02%      0.26%

 存货            96,469,650.32      3.94%        56,122,372.78      2.50%      1.44%

 固定资产        144,631,947.29      5.90%        106,808,531.15      4.75%      1.15%

 在建工程        437,631,496.00      17.85%        199,758,564.16      8.89%      8.96%

 使用权资产        1,019,171.01      0.04%          1,355,412.55      0.06%      -0.02%

 合同负债          3,782,383.53      0.15%          3,465,185.00      0.15%      0.00%

 长期借款                                            47,000,000.00      2.09%      -2.09%

 租赁负债            616,975.15      0.03%            898,404.33      0.04%      -0.01%

    2023 年末,公司货币资金比重减少,在建工程比重增加,主要是报告期内
 募集资金用于募投项目建设增加导致在建工程大幅度增加。应收账款比重增加主 要是报告期内客户欠款较 2023 年初大幅度增加,租赁负债减少主要是报告期内 公司支付了相关租赁款项。存货增加主要是报告期产成品和原材料储备增加。
    三、营业收入及营业成本分析

    公司 2022-2023 年营业收入构成如下:

                                                            单位:元

                              本期发生额                            上期发生额

    项 目                    占营业收入                            占营业收入

                    收入        的比例        成本        收入        的比例        成本

    6-硝体        326,197,29      65.86%  177,978,26  233,532,75      58.32%  112,155,86
                      7.48                      6.66        4.13                      2.79

2-氨基-5-硝基苯  32,818,336        6.63%  23,082,168  28,749,572        7.18%  18,354,132
    酚                .44                      .11          .92                      .41

    氧体        31,917,413        6.44%  16,215,568  25,398,499        6.34%  12,123,424
                        .62                      .02          .94                      .12

  2-氯吡啶      58,361,189      11.78%  53,475,172  63,787,760      15.93%  62,236,778
                        .67                      .93          .97                      .18

  其他产品      45,992,202        9.29%  46,962,333  48,967,860      12.23%  55,845,314
                        .91                      .11          .52                      .38

    合计        495,286,44      100.00%  317,713,50  400,436,44      100.00%  260,715,51
                      0.12                      8.84        8.48                      1.88

    报告期内,公司实现营业收入 49,528.64 万元,较上年同期增加 23.69% 。
2023 年度,公司持续推进精益管理,积极开拓市场,全面提升效率。在全球经济增速放缓,行业供需状况变化的背景下,公司积极稳定经营基本盘,凭借主要产品在细分行业的优势地位,实现营业收入较上年同期一定幅度的增长。报告期内,公司营业成本为 31,771.35 万元,较上年增长了 21.86%,主要系相关产品销量增加所致。

    四、获取现金能力分析

  2022-2023 年,公司现金流量表明细如下:

                                                            单位:元

        项目                2023 年                2022 年              同比增减

经营活动现金流入小计          268,834,883.64        254,473,645.62                  5.64%

经营活动现金流出小计          254,859,684.11        159,764,736.55                59.52%

经营活动产生的现金流量          13,975,199.53          94,708,909.07                -85.24%
净额

投资活动现金流入小计        1,139,501,690.09        625,385,355.42                82.21%

投资活动现金流出小计        1,211,181,295.95      1,409,216,444.98                -14.05%

投资活动产生的现金流量        -71,679,605.86        -783,831,089.56                -90.86%
净额

筹资活动现金流入小计            32,000,000.00                                      100.00%

筹资活动现金流出小计   
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