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航天科技:2022年度财务决算报告

公告日期:2023-03-31

航天科技:2022年度财务决算报告 PDF查看PDF原文

        航天科技控股集团股份有限公司

            2022 年度财务决算报告

  航天科技控股集团股份有限公司(以下简称公司)根据公司经营情况和财务状况,并结合 2022 年度审计情况,现将 2022 年度财务决算报告如下(金额单位:元):

  一、2022 年合并范围变化情况

  本年纳入合并范围的子公司共 9 户,公司于 2022 年 5 月 30 日完
成对深圳航天智控科技有限公司(以下简称“深圳智控”)100%股权的收购,合并范围相对上期增加 1 户。

  二、资产、负债、所有者权益情况

  (一)资产情况

  截止 2022 年末,公司资产总额 8,375,051,086.38 元,较上年末
7,614,831,721.07 元,增幅 9.98%。流动资产 4,964,566,363.39 元,占资产总额的比例为 59.28%;非流动资产 3,410,484,722.99 元,占资产总额的比例为 40.72%。资产总额增长主要因应收账款、存货、固定资产、在建工程等资产增长所致。主要资产变动情况如下表:
                    表 1  2022 年主要资产构成明细表

      项    目            2022.12.31        2021.12.31          增减额        变化率

流动资产:

      货币资金          1,086,466,924.80  1,240,923,040.70  -154,456,115.90    -12.45%

      衍生金融资产                  0.00      1,109,163.45    -1,109,163.45  -100.00%

      应收票据            511,924,830.44    551,198,310.86    -39,273,480.42    -7.13%

      应收账款          1,234,469,688.79  1,005,279,441.68    229,190,247.11    22.80%

      应收款项融资          41,372,871.34    73,134,435.83    -31,761,564.49    -43.43%

      预付款项              85,816,049.61    102,381,960.96    -16,565,911.35    -16.18%

      其他应收款            49,494,888.50    57,326,230.57    -7,831,342.07    -13.66%

      存货              1,759,144,848.49  1,328,343,811.84    430,801,036.65    32.43%


      合同资产              59,201,834.15    55,088,628.35      4,113,205.80      7.47%

      其他流动资产        136,674,427.27    117,746,942.32    18,927,484.95    16.07%

流动资产合计              4,964,566,363.39  4,532,531,966.56    432,034,396.83      9.53%

非流动资产:

    长期应收款              7,608,472.50      8,122,162.50      -513,690.00    -6.32%

    其他权益工具投资      153,138,641.27    142,050,313.56    11,088,327.71      7.81%

    其他非流动金融资产      84,295,658.23    52,693,017.97    31,602,640.26    59.98%

    投资性房地产            23,307,614.87    30,240,808.23    -6,933,193.36    -22.93%

    固定资产            1,328,800,051.18  1,121,126,796.35    207,673,254.83    18.52%

    在建工程              231,014,759.44    138,890,101.30    92,124,658.14    66.33%

    使用权资产            466,327,284.11    454,775,513.41    11,551,770.70      2.54%

    无形资产              207,403,792.32    181,895,065.95    25,508,726.37    14.02%

    开发支出              120,160,083.30    127,349,710.20    -7,189,626.90    -5.65%

    商誉                  360,820,111.51    353,177,182.77      7,642,928.74      2.16%

    长期待摊费用            18,245,375.33    13,187,590.75      5,057,784.58    38.35%

    递延所得税资产        180,729,435.12    125,950,432.65    54,779,002.47    43.49%

    其他非流动资产        228,633,443.81    332,841,058.87  -104,207,615.06    -31.31%

非流动资产合计            3,410,484,722.99  3,082,299,754.51    328,184,968.48    10.65%

资 产总计            8,375,051,086.38  7,614,831,721.07    760,219,365.31      9.98%

  同比变化较大的项目说明:

  1.衍生金融资产:2021 年衍生金融产品正负相抵为正数,浮动盈利列示在衍生金融资产;2022 年该衍生金融产品在正负相抵为负数,浮动亏损列示在衍生金融负债。

  2.应收账款:主要由于境外公司营业收入增加所致。

  3.应收账款融资:本年背书、贴现的银行承兑汇票金额减少,对应银行的银行承兑汇票余额重分类到本项目相应减少所致。

  4.存货:主要为境外公司由于电子元器件短缺而备货以及惯性公司航天应用产品业务备货。

  5.其他非流动金融资产:北京国调创业投资基金公允价值变动所致。

  6.在建工程:主要为增加哈尔滨工业园三期建设项目、雷诺 BMS产品子板生产线、表面贴片机生产线、第三号分板切割线项目等所致。

  7.递延所得税资产:可抵扣亏损确认递延所得税资产增加。

  8.其他非流动资产:境外公司厂房建设预付工程款结转所致。
  (二)负债情况

  截止 2022 年末,负债总额 3,890,815,613.38 元,较上年末
3,181,872,768.51 元,增幅 22.28%。流动负债 2,338,910,249.51 元,占负债总额的比例为 60.11%;非流动负债 1,551,905,363.87 元,占负债总额的比例为 39.89%。负债总额的增长主要是由于短期借款、应付账款、长期借款、长期应付款等增加所致。主要负债明细情况如下表:

                                表 2  2022 年主要负债构成明细表

      项    目            2022.12.31        2021.12.31          增减额        变化率

流动负债:

      短期借款            142,583,925.55      80,658,478.65    61,925,446.90    76.77%

      衍生金融负债          7,609,192.52              0.00    7,609,192.52          -

      应付票据            484,876,578.46    467,911,512.62    16,965,065.84      3.63%

      应付账款          1,093,014,609.47    795,088,591.27  297,926,018.20    37.47%

      合同负债            183,312,467.53    144,485,983.97    38,826,483.56    26.87%

      应付职工薪酬        137,166,223.83    107,732,129.97    29,434,093.86    27.32%

      应交税费              37,861,791.15      37,705,872.52      155,918.63      0.41%

      其他应付款            54,354,898.96      63,177,335.92    -8,822,436.96    -13.96%

      一年内到期的非流    168,063,444.53    141,809,767.54    26,253,676.99    18.51%
动负债

      其他流动负债          30,067,117.51      92,816,738.37  -62,749,620.86    -67.61%

流动负债合计              2,338,910,249.51  1,931,386,410.83  407,523,838.68    21.10%

非流动负债:

      长期借款            503,788,457.66    341,523,581.81  162,264,875.85    47.51%

      租赁负债            420,189,843.81    411,878,318.24    8,311,525.57      2.02%

      长期应付款          174,329,670.85    103,872,420.10    70,457,250.75    67.83%

      长期应付职工薪酬    111,416,126.77    135,250,150.75  -23,834,023.98    -17.62%

      预计负债              15,941,165.29      16,682,105.04      -740,939.75    -4.44%

      递延收益              75,528,802.47      18,244,066.71    57,284,735.76    313.99%

      递延所得税负债      165,312,724.36    129,478,319.87    35,83
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