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首页 公告 神雾节能:2022年年度财务报告

神雾节能:2022年年度财务报告

公告日期:2023-04-29

神雾节能:2022年年度财务报告 PDF查看PDF原文

                  神雾节能股份有限公司

      2022 年度财务决算及 2023 年度财务预算报告

                (除特别注明外,本议案金额单位均为人民币元)

    一、2022 年度财务报表的审计情况

    公司 2022 年 12 月 31 日母公司及合并的资产负债表、2022 年度母公司及合
并的利润表、2022 年度母公司及合并的现金流量表、2022 年度母公司及合并的所有者权益变动表及相关报表附注已经由中审众环师事务所(特殊普通合伙)审计。

    二、主要会计数据和财务指标

 指标                            2022 年度    2021 年度(调整后)  较上年增长

 资产负债率                          66.63%            56.96%        9.67%

 流动比率                            88.12%            91.17%        -3.05%

 速动比率                            81.87%            82.06%        -0.19%

 应收账款周转率                          1.31              2.46      -46.67%

 归属于上市公司的每股净资产              0.11              0.13      -15.95%

 扣除非经常性损益后归属于公    -10,556,037.85      -6,800,751.36      -55.22%
 司普通股股东的净利润

 净资产收益率                        -20.72%          -173.36%    152.64%

 基本每股净收益                      -0.0250            3.1223      -100.80%

 每股经营活动产生的现金净流          -0.0382            -0.2266        83.16%
 量

    三、资产负债情况

          项目                2022 年度      2021 年度(调整后)  较上年增长

 货币资金                        9,719,102.74          23,763,485.30      -59.10%

 应收票据                        27,123,546.22          1,016,029.01    2569.56%

 应收账款                      142,487,640.33          96,881,974.22      47.07%

 应收款项融资                      300,000.00          3,575,172.00      -91.61%

 预付款项                        2,239,545.19          5,506,106.92      -59.33%

 其他应收款                      7,937,916.39          15,839,668.67      -49.89%

 存货                            1,166,555.63            825,350.05      41.34%

 其他流动资产                    10,916,585.82          10,019,373.92        8.95%


          项目                2022 年度      2021 年度(调整后)  较上年增长

 固定资产                          209,447.30            224,528.43      -6.72%

 无形资产                        2,934,154.83          3,318,351.03      -11.58%

 商誉                          128,006,213.66        128,006,213.66        0.00%

 长期待摊费用                            0.00            75,209.43    -100.00%

 递延所得税资产                  19,172,466.74          20,707,100.88      -7.41%

 流动负债合计                  229,100,264.70        179,576,116.15      27.58%

 非流动负债合计                  5,573,863.20            446,390.62    1148.65%

 负债合计                      234,674,127.90        180,022,506.77      30.36%

 股本                            91,190,954.00          91,190,954.00        0.00%

 资本公积                      486,603,470.45        484,209,603.75        0.49%

 盈余公积                        40,109,318.76          40,109,318.76        0.00%

 未分配利润                    -546,650,350.08        -530,734,498.45      -3.00%

 归属于母公司所有者权益合        71,253,393.13          84,775,378.06      -15.95%
 计

 少数股东权益                    46,285,653.82          51,249,749.89      -9.69%

 所有者权益合计                117,539,046.95        136,025,127.95      -13.59%

    四、经营成果

          项目                2022 年度      2021 年度(调整后)  较上年增长

 营业收入                      156,726,641.61        120,157,347.64      30.43%

 营业成本                      133,959,624.19        101,694,976.38      31.73%

 税金及附加                        387,553.40          1,313,900.64      -70.50%

 销售费用                        3,939,332.01          1,765,538.05      123.12%

 管理费用                        24,258,201.90          21,198,821.42      14.43%

 研发费用                        2,051,825.35          1,230,144.71      66.80%

 财务费用                          23,409.22          -5,100,638.31      100.46%

 投资收益                          59,985.72        1,559,011,255.33    -100.00%

 净利润                        -20,879,947.70        2,011,581,279.54    -101.04%

 归属于母公司所有者的净利      -15,915,851.63        1,989,652,358.52    -100.80%
 润

    1、报告期内,公司实现营业总收入 156,726,641.61 元,较上年同期上升
30.43%;实现净利润总额 -20,879,947.70 元,较上年同期下降 101.04%;

    2、销售费用较上年增加 123.12%,主要系公司本期日常经营性支出的增加;
    3、财务费用较上年大幅增加,增加比率为 100.46%,主要为 2021 年计提对
神雾集团资金占用费,2021 年该资金占用已解除,今年无该部分利息收入。

    4、投资收益较上年大幅减少,主要为上年同期子公司债务重组收益;

    5、净利润较上年大幅降低,降低比率为 101.04%,主要为上年同期子公司
进行破产重整实现的债务重组收益和上市公司违规担保解决形成的营业外收入导致净利润增加。

    五、现金流量情况

      项目                      2022 年度        2021 年度      较上年增长

 经营活动现金流入小计          141,083,914.68    122,541,270.64        15.13%

 经营活动现金流出小计          165,396,872.52    266,940,889.42        -38.04%

 经营活动产生的现金流量净额      -24,312,957.84    -144,399,618.78        83.16%

 投资活动现金流入小计            6,349,551.92      27,557,628.58        -76.96%

 投资活动现金流出小计                91,087.00      6,035,731.29        -98.49%

 投资活动产生的现金流量净额      6,258,464.92      21,521,897.29        -70.92%

 筹资活动现金流入小计            4,871,324.52    214,022,697.46        -97.72%

 筹资活动现金流出小计              100,597.77      69,231,769.66        -99.85%

 筹资活动产生的现金流量净额      4,770,726.75    144,790,927.80        -96.71%

 现金及现金等价物净增加额        -13,220,449.17      21,896,330.37      -160.38%

    1、 经营活动现金流入增加,主要系今年销售回款及收到单位往来款的增加。
    2、经营活动现金流出减少,主要系子公司江苏院去年按破产重整计划大额清偿经营活动各项债务金额大于今年正常经营性付款。

    3、经营活动产生的现金流量净额增加,主要系子公司去
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