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首页 公告 景兴纸业:2022年度财务决算

景兴纸业:2022年度财务决算

公告日期:2023-04-29

景兴纸业:2022年度财务决算 PDF查看PDF原文

              浙江景兴纸业股份有限公司

                  2022 年年度财务决算

    根据浙江景兴纸业股份有限公司(以下简称“公司”)的财务状况和经营成果, 公司完成了 2022 年度财务决算工作。财务报表经天健会计事务所(特殊普通合伙) 审计,并出具了标准无保留意见的审计报告。

    一、 主要财务数据及指标完成情况

                                                      金额单位:元,下同

    指标        本期数/年末数    上期数/年初数    变动比率            变动原因

                                                        (%)

营业收入        6,227,218,533.79  6,224,614,594.70        0.04

营业利润          125,799,549.64    486,839,087.54      -74.16

利润总额          123,698,309.44    475,665,630.55      -73.99

归属于母公司股                                                    主要系产品盈利能力下降所
东的净利润        117,594,321.67    441,121,948.56      -73.34  致。

基本每股收益                0.10              0.38      -73.68

资产总额        7,956,865,916.01  7,940,283,181.97        0.21

负债总额        2,422,254,034.79  2,324,908,319.70        4.19

归属于母公司股  5,531,660,197.07  5,434,184,833.34        1.79

东的净资产

经营活动产生的    925,627,292.10    249,165,915.12      271.49  主要系经营性应收项目减少
现金流量净额                                                      较上期增加所致。

加权平均净资产              2.14              8.62      -6.48

收益率(%)

每股净资产                  4.63              4.55        1.76

    二、 2022 年度财务状况

    (一)资产结构及同比变动分析

                              占资产总                    占资产总

  项目        年末数        额比重        年初数        额比重  比重增减    变动原因
                              (%)                        (%)

货币资金  1,087,235,280.84    13.66  1,340,654,032.85    16.88    -3.22

交易性金    160,704,382.16      2.02    167,563,397.26      2.11

融资产                                                                  -0.09

应收票据      4,335,019.46      0.05    16,586,661.18      0.21    -0.15

应收账款    455,682,281.46      5.73    567,684,827.96      7.15    -1.42

应收款项    367,388,458.57      4.62    714,487,765.87      9.00


预付款项      40,520,736.68      0.51    40,034,894.37      0.50      0.01

其他应收      4,776,160.27      0.06      4,198,005.12      0.05

款                                                                      0.01

存货        693,061,609.08      8.71    638,178,180.92      8.04      0.67

其他流动      44,101,175.84      0.55    47,787,095.70      0.60

资产                                                                    -0.05

流动资产  2,857,805,104.36    35.92  3,537,174,861.23    44.55

合计                                                                    -8.63

长期股权    242,164,005.65      3.04    246,531,349.07      3.10

投资                                                                    -0.06

其他非流

动金融资    174,801,381.39      2.20    167,096,398.53      2.10

产                                                                      0.09

投资性房    116,510,048.64      1.46    112,771,627.00      1.42

地产                                                                    0.04

固定资产  2,528,269,952.60    31.77  2,134,837,143.68    26.89      4.89

在建工程  1,417,727,387.63    17.82    894,151,687.63    11.26      6.56

使用权资      1,924,416.68      0.02              0.00      0.00

产                                                                      0.02

无形资产    544,883,109.45      6.85    558,703,705.08      7.04    -0.19

递延所得      8,270,506.10      0.10      7,082,681.20      0.09

税资产                                                                  0.01

其他非流      64,510,003.51      0.81    281,933,728.55      3.55

动资产                                                                  -2.74

非流动资  5,099,060,811.65    64.08  4,403,108,320.74    55.45

产合计                                                                  8.63

资产总额  7,956,865,916.01    100.00  7,940,283,181.97    100.00      0.00

    (二)债务结构及同比变动分析

                            年末占                      年初占

  项目        年末数      资产总      年初数        资产总  比重增      变动原因
                            额比重                      额比重    减

                            (%)                      (%)

短期借款    217,762,854.26    2.74    547,006,036.11    6.89    -4.15

应付票据    351,500,000.00    4.42              0.00    0.00    4.42

应付账款    305,572,980.64    3.84    241,358,198.15    3.04    0.80

预收款项      1,498,523.75    0.02        910,542.87    0.01    0.01

合同负债    27,494,023.56    0.35      23,201,499.77    0.29    0.05

应付职工    45,371,366.12    0.57      56,210,103.72    0.71

薪酬                                                              -0.14

应交税费    27,025,651.43    0.34    129,616,573.17    1.63    -1.29

其他应付    245,510,364.84    3.08    172,672,843.64    2.17

一年内到

期的非流    127,868,232.40    1.61      30,035,291.67    0.38

动负债                                                              1.23

其他流动      3,574,223.07    0.04      7,317,346.44    0.09

负债                                                              -0.05

流动负债  1,353,178,220.07  17.00  1,208,328,435.54    15.22

合计                                                                1.79

长期借款    97,090,681.63    1.22    187,644,751.52    2.36    -1.14

应付债券    946,578,384.80  11.89    905,642,449.15    11.
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