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首页 公告 飞亚达B:2022年第三季度报告(英文)

飞亚达B:2022年第三季度报告(英文)

公告日期:2022-10-26

飞亚达B:2022年第三季度报告(英文) PDF查看PDF原文

  Stock Code: 000026; 200026  Abbreviation of the Stock: FIYTA; FIYTA B      Announcement No.: 2022-041

                          FIYTA Precision Technology Co., Ltd.

                                2022 Third Quarter Report

    The Company and all members of the Board of Directors ensure that the information disclosed herein is authentic,
      accurate and complete, and there are no false records, misleading statements or significant omissions.

Important Notice:

1. The Board of Directors, the Supervisory Committee, directors, supervisors and senior executives hereby individually
and collectively accept the responsibility for the correctness, accuracy and completeness of the contents of this report
and confirm that there are neither material omissions nor errors which would render any statement misleading.

2. The Company leader, the chief financial officer, and the manager of the accounting department (treasurer) hereby
confirm the authenticity, accuracy and completeness of the financial report enclosed in this Quarter Report.

3. Has the third quarter report been audited

No

I. Financial Highlights
(I) Summary of Accounting/Financial Data

Does the Company need to make retroactive adjustment or restatement of the accounting data of the previous year

No

                                                                                                              Year-on-year

                                                            Year-on-year          From year beginning to    increase/decrease

                                Reporting period        increase/decrease in the    the end of the reporting    from year beginning
                                                          reporting period                period            to the end of the

                                                                                                            reporting period

 Revenue in CNY                1,201,863,621.73                      -8.06%        3,385,434,370.84              -17.12%

 Net profit attributable to the

 Company’s shareholders, in          89,108,590.17                      -18.28%          229,801,374.46              -32.92%
 CNY

 Net profit attributable to the

 Company’s shareholders            86,658,935.58                      -17.10%          216,590,692.48              -34.03%
 less the non-recurring items,
 in CNY

 Net cash flows arising from            —                        —                      400,581,603.78                8.79%
 operating activities, in CNY

 Basic earning per share                    0.2173                      -15.57%                  0.5524              -30.91%
 (CNY/share)

 Diluted earning per share                  0.2173                      -15.57%                  0.5524              -30.91%
 (CNY/share)

 Return on equity, weighted                  2.91%                      -0.84%                  7.53%                -4.31%
 average

                              End of the reporting      End of the previous year    Increase/decrease at the end of the year over the
                                    period                                                  end of the previous year

 Total assets (in CNY)              4,097,923,826.65              4,110,579,952.49                                        -0.31%

 Owner’s equity attributable

 to the Company’s                3,089,312,840.30              3,013,232,642.53                                        2.52%
 shareholders, in CNY

(II) Non-recurring gain/loss items and the amounts involved

                                                                                                  In CNY

                                                                                  Amount from year beginning

                      Items                        Amount in the reporting period    to the end of the reporting        Note

                                                                                          period

 Gain/loss from disposal of non-current assets,

 including the part written-off with the provision for                        -306,635.15              -1,122,656.31

 impairment of assets.

 The government subsidies included in the profits and

 losses of the current period ( (excluding government

 grants which are closely related to the Company’s                      2,577,976.90              15,947,759.85

 normal business and conform with the national

 standard amount or quantity)

 Reversal of provision for impairment of accounts

 receivable that has been separately tested for                          729,415.25                2,860,200.09

 impairment

 Other non-operating income and expenses with the                      122,810.58                -494,498.90

 aforesaid items exclusive

 Less: Amount affected by the income tax                                673,912.99                3,980,122.75


 Total                                          
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