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首页 公告 天音控股:2022年度财务决算报告

天音控股:2022年度财务决算报告

公告日期:2023-04-14

天音控股:2022年度财务决算报告 PDF查看PDF原文

            天音通信控股股份有限公司

              2022 年度财务决算报告

  天音通信控股股份有限公司(以下简称“公司”)2022 年财务决算工作已
完成,2022 年度公司财务报表及相关报表附注已经中审华会计师事务所(特殊
普通合伙)审计,并出具了标准无保留意见的审计报告。现就公司 2022 年度财
务情况报告如下:

  一、2022 年度公司主要财务指标

                                                            单位:元

                              2022 年                2021 年        本年比上年      主要原因

                                                                        增减

 营业收入(元)            76,426,945,612.57    70,999,505,841.61      7.64%  本期电商平台业
                                                                                      务量增长

 归属于上市公司股东的          109,872,385.34        206,824,075.78    -46.88%  本期新业务拓展
 净利润(元)                                                                      融资成本增加

 归属于上市公司股东的                                                              本期新业务拓展
 扣除非经常性损益的净          109,424,985.35        191,242,867.39    -42.78%    融资成本增加
 利润(元)

                                                                                  本期期末备战次
 经营活动产生的现金流      -3,810,758,069.59    -3,379,251,855.31    -12.77%  年开门红,预付
 量净额(元)                                                                      手机采购款较上
                                                                                  年同期增加所致

 基本每股收益(元/                    0.1100                0.2000    -45.00%  本期归母净利润
 股)                                                                              较上年同期减少

 稀释每股收益(元/                    0.1100                0.2000    -45.00%  本期归母净利润
 股)                                                                              较上年同期减少

 加权平均净资产收益率                  4.23%                8.13%      -3.90%  本期归母净利润
                                                                                  较上年同期减少

                              2022 年末              2021 年末        本年末比上

                                                                      年末增减

 总资产(元)              21,419,543,666.41    18,347,394,273.91      16.74%  流动资产、投资
                                                                                      增加所致

                                                                                  处置以公允价值
 归属于上市公司股东的                                                              计量且其变动计
 净资产(元)                2,581,148,219.24      2,618,481,164.73      -1.43%  入其他综合收益
                                                                                  的金融资产致留
                                                                                    存收益下降

  影响报告期经营情况及经营业绩主要因素:


        1、2022 年,因公司手机业务销售能力持续提升,同时公司新业务模式稳

  步拓展,使得公司整体营收水平较上年同期有所提升。

        2、归属于上市公司股东的净利润同比下降主要是新业务拓展致融资成本增

  加,预期信用损失金额计提减值准备增加。

      二、合并财务报表范围的变动情况

                                                                单位:元

            公司名称                    变动原因        出资额      出资比例(%)

TELLING DEVICE MEXICO                      新设            32,068.93              99.00

Telling Trade UK Limited                        新设                  -            100.00

Telling Trade US Limited                        新设            144,162.00            100.00

上海醒市商盟供应链服务有限公司        正式开始经营              -            100.00

上海近我者富供应链有限公司            正式开始经营      1,000,000.00            100.00

北京天联新动通信科技发展有限公司          注销          15,000,000.00            100.00

      三、公司主要财务报表项目的异常情况及原因说明

                                                          单位:元

 报表项目    期末数(本期  期初数(上期  本期增减变  变动          变动原因

                  数)          数)          动      幅度%

应收款项融                -    30,000,000.00    -30,000,000.00  -100.00  主要系期初应收信用度较
资                                                            高银行承兑汇票所致

预付款项        4,977,748,856.59  2,710,067,545.75  2,267,681,310.84    83.68  本期预付手机等货款增加
                                                              所致

存货            5,331,228,100.85  3,993,996,901.58  1,337,231,199.27    33.48  本期春节提前至 1 月,公司
                                                              提前备货所致

其他流动资    278,865,433.92    182,875,120.70    95,990,313.22    52.49  主要系本期待抵扣增值税
产                                                            进项税额增加所致

其他债权投      60,000,000.00    37,500,000.00    22,500,000.00    60.00  主要系本期支付可转债投
资                                                            资所致

其他非流动    219,200,634.63              -  219,200,634.63        -  主要系本期调整有限合伙
金融资产                                                      企业报表列示所致

在建工程        1,321,132,003.64    834,804,408.98  486,327,594.66    58.26  主要系超级总部工程施工
                                                              投入增加所致

使用权资产        60,356,152.65    101,286,971.97    -40,930,819.32    -40.41  主要系使用权资产折旧致
                                                              净值减少所致

短期借款      10,409,646,662.63  6,759,495,435.46  3,650,151,227.17    54.00  主要系新业务拓展短期融

                                                              资增加所致

应付账款        461,920,133.81    354,281,015.84    107,639,117.97    30.38  主要系期末存货库存量增
           
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