财务指标

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指标变动说明

变动科目 本期数值 上期数值 变动幅度 变动原因
营业总收入(元) 16.35亿 12.28亿 33.15% 本期销售价格同比增加。
在建工程(元) 7.22亿 4.37亿 65.27% 马来西亚旗滨生产线建设投入增加、以及漳州旗滨一线冷修技改固定资产转入在建工程。
取得借款收到的现金(元) 6.85亿 10.03亿 31.69% 本期流动资金借款及项目借款同比减少。
偿还债务支付的现金(元) 6.66亿 3.97亿 67.63% 公司调整资产负债结构偿还借款。
购买商品、接受劳务支付的现金(元) 4.36亿 6.82亿 36.06% 本期现汇支付货款同比减少。
购建固定资产、无形资产和其他长期资产支付的现金(元) 3.44亿 1.39亿 147.67% 马来西亚旗滨新建生产线,工程款及设备款支付同比增加。
支付的各项税费(元) 1.88亿 6958.68万 169.46% 本期实现的税款同比增加。
长期应付款(元) 1.48亿 2.15亿 31.21% 长兴旗滨一年内到期的融资租赁款重分类至一年内到期的非流动负债。
所得税费用(元) 5557.61万 1208.62万 359.83% 本期利润总额同比增加。
支付其他与经营活动有关的现金(元) 4725.15万 2431.47万 94.33% 本期支付押金、退还保证金同比增加。
财务费用(元) 4677.94万 7416.26万 36.92% 本期借款余额与去年同比减少及长期借款利率下调导致本期利息支出同比减少。
营业税金及附加(元) 4639.79万 273.39万 1597.15% 根据财政部《增值税会计处理规定》(财会22号)的通知,将本公司经营活动发生的房产税、土地使用税、车船使用税、印花税等相关税费从“管理费用”重分类至“税金及附加”。
分配股利、利润或偿付利息支付的现金(元) 4597.64万 7536.52万 39% 本期借款余额与去年同比减少及长期借款利率下调导致本期利息支出同比减少。
收到其他与经营活动有关的现金(元) 3602.13万 852.91万 322.33% 本期收到保证金同比增加。
营业外收入(元) 2221.66万 1673.86万 32.73% 株洲政策性搬迁资产政府补助结转增加。
预付款项(元) 2165.72万 4877.16万 55.59% 本期预付原燃材料货款减少。
支付其他与筹资活动有关的现金(元) 2146.28万 1074.61万 99.73% 本期支付融资租赁款同比增加。
应付职工薪酬(元) 2137.09万 3295.89万 35.16% 上年计提的年终奖金本期发放。
应付票据(元) 1601.19万 1.11亿 85.52% 本期开具承兑汇票结算供应商货款减少。
应付利息(元) 1134.50万 653.73万 73.54% 本期马来西亚旗滨计提借款利息增加。
其他综合收益(元) 1022.87万 450.60万 127.00% 资产负债表日外币报表折算差额影响。
其他流动资产(元) 790.97万 1927.14万 58.96% 本期留抵增值税减少。
应收账款(元) 680.86万 978.20万 30.4% 本期客户赊销货款减少。
支付其他与投资活动有关的现金(元) 515.28万 915.00万 43.69% 本期退回工程投标保证金减少。
处置固定资产、无形资产和其他长期资产收回的现金净额(元) 338.87万 25.66万 1220.53% 本期收到处置非流动资产款项同比增加。
收到其他与投资活动有关的现金(元) 130.00万 785.00万 83.44% 上期收到土地保证金退回。
投资收益(元) -5.97万 -126.57万 95.29% 参股的光伏新能源公司本期实现盈利。
资产减值损失(元) -136.07万 307.85万 144.2% 本期计提的坏账准备同比减少。

资产负债构成

科目 金额
固定资产 78.30亿元
流动资产 24.36亿元
无形资产 8.10亿元
长期投资 4066.57万元
其它 13.57亿元
资产总计 124.73亿元
科目 金额
流动负债 40.60亿元
长期借款 12.09亿元
其它 8.90亿元
负债总计 61.59亿元

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