Annual Report 2023
Management Discussion and Analysis 管理層討論與分析 31 舜宇光學科技(集團)有限公司 • 2023 年報 The unlisted financial products were measured at fair value as at 31 December 2023. Such investment activities were funded primarily by the idle self-owned funds of the Group. The Board considers that the terms of such unlisted financial products are on normal commercial terms, fair and reasonable and in the interests of the Company and the Shareholders as a whole. For the year ended 31 December 2023, the Group’s investments amounted to approximately RMB2,487.8 million, which were primarily for the purchases of property, plant and equipment, acquisition of land use right and payment for intangible assets. These investments enhanced the Group’s R&D and technological application capability and production efficiency, and thus expanded the sources of revenue. Future Plans for Material Investments or Capital Assets Going forward, the Group will continue to further diversify its investments among different banks to lower the concentration risk and will closely monitor the performance of investments made and future investments plan in accordance with its prudent funding and treasury policy to utilise and to increase the yield of the idle funds of the Group while maintaining a high level of liquidity and a low level of risk. Such investment activities were made and will be made on the premises that it would not adversely affect the working capital of the Group or the operation of the Group’s principal business. The Group intends to make further investments to enhance its competitiveness in the future. 於二零二三年十二月三十一日,非上市金融產 品以公允值進行計量。該等投資活動主要由本 集團的閒置自有資金撥付。 董事會認為,該等非上市金融產品的條款符合 正常商業條款,屬公平合理及符合本公司及股 東的整體利益。 截至二零二三年十二月三十一日止年度,本集 團動用約人民幣 2,487,800,000 元進行投資活 動,主要用作收購物業、機器及設備、收購土 地使用權和支付無形資產。該等投資增強了本 集團的研發及技術應用能力,並提升了生產效 率,進而拓寬了收入來源。 未來作重大投資或購入資本資產的計 劃 展望未來,本集團將繼續令其於不同銀行的投 資更多元化,以降低風險集中度,並將密切監 察根據其審慎的融資及財政政策所作投資及未 來投資計劃之表現,以動用及增加本集團閒置 資金收益,同時維持高水平流動資金及低水平 風險。該等投資活動進行及將進行的前提為其 不會對本集團營運資金或本集團主要業務營運 產生不利影響。未來,本集團擬進一步投資以 加強競爭力。
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