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中核钛白:2022年度财务决算报告

公告日期:2023-04-28

中核钛白:2022年度财务决算报告 PDF查看PDF原文

              中核华原钛白股份有限公司

                2022 年度财务决算报告

      公司 2022 年度财务会计报表已经立信会计师事务所(特殊普通合伙)审计,

  并出具了标准无保留意见的审计报告。立信会计师事务所认为公司财务报表在所

  有重大方面按照企业会计准则的规定编制,公允反映了公司 2022 年 12 月 31 日

  的财务状况以及 2022 年度的经营成果和现金流量。现将公司 2022 年度财务决算

  情况报告如下:

                              一、 主要财务数据

  (一)经营成果                                    单位:人民币元(下同)

      项目                2022 年度                  2021 年度          变动幅度

    营业收入          5,481,272,267.60          5,374,133,599.51        1.99%

    营业成本          4,360,696,380.63          3,435,134,014.25        26.94%

      毛利            1,120,575,886.97          1,938,999,585.26      -42.21%

    税金及附加          59,141,274.99              58,629,189.57          0.87%

    销售费用            36,507,179.29              39,655,868.20        -7.94%

    管理费用            303,670,403.23            273,632,477.87        10.98%

    研发费用            129,776,541.23            148,451,987.59        -12.58%

    财务费用            -123,801,722.00            3,477,886.13        -3659.68%

    其他收益            18,064,946.71              19,738,978.75        -8.48%

    投资收益            27,527,071.81              39,622,793.51        -30.53%

  信用减值损失            16,998.68                -249,415.12        -106.82%

  资产减值损失          -1,980,246.90            -18,031,515.42        -89.02%

  资产处置收益            -11,534.86                805,313.71          -101.43%

    营业外收入            3,170,366.61              2,667,211.05          18.86%

    营业外支出          12,527,656.60              15,222,232.53        -17.70%

    利润总额            749,542,155.68            1,444,483,309.85      -48.11%

    所得税费用          104,043,959.96            227,821,429.78        -54.33%

      净利润            645,498,195.72            1,216,661,880.07      -46.95%

归属于母公司股东的净      643,177,990.94            1,216,661,880.07      -47.14%
      利润


    报告期,公司营业收入 54.81 亿元(人民币,下同),同比增加 1.07 亿元,

上升 1.99%;营业成本 43.61 亿元,同比增加 9.26 亿元,上升 26.94%;毛利 11.21

亿元,同比减少 8.18 亿元,下降 42.21%。

    销售费用 3,650.72 万元,同比减少 314.87 万元,下降 7.94%。主要系报告

期出口费用的减少所致。

    管理费用 30,367.04 万元,同比增加 3,003.79 万元,上升 10.98%。

    研发费用 12,977.65 万元,同比减少 1,867.54 万元,下降 12.58%。

    财务费用-12,380.17 万元,同比减少 12,727.96 万元,下降 3659.68%。主

要系报告期利息收入以及汇兑收益增加所致。

    其他收益 1,806.49 万元,同比减少 167.40 万元,下降 8.48%。主要系报告

期收到的政府补助减少所致。

    投资收益 2,752.71 万元,同比减少 1,209.57 万元,下降 30.53%。主要系

报告期购买理财产品减少所致。

    信用减值损失 1.70 万元,同比减少 26.64 万元,下降 106.82%。

    资产减值损失-198.02 万元,同比减少 1,605.13 万元,下降 89.02%。主要

系报告期公司资产减值减少所致。

    资产处置收益-1.15 万元,同比减少 81.68 万元,下降 101.43%。

    营业外收入 317.04 万元,同比增加 50.32 万元,上升 18.86%。主要系报告

期核销长期挂账及无需支付的应付款项增加所致。

    营业外支出 1,252.77 万元,同比减少 269.46 万元,下降 17.70%。主要系

报告期对外捐赠减少及非流动资产处置损失减少所致。
(二)财务状况

                        1、资产负债情况分析

    项目                2022 年 12 月 31 日          2021 年 12 月 31 日      变动比率

  货币资金              3,840,298,052.37            3,909,775,513.83        -1.78%

交易性金融资产                  -                    700,000,000.00        -100.00%

  应收票据              165,432,093.41              496,561,551.70        -66.68%

  应收账款              700,820,311.03              806,007,557.30        -13.05%

 应收款项融资            207,826,937.44              88,908,156.39        133.75%

  预付款项              142,092,102.32              202,045,039.50        -29.67%

  其他应收款              11,220,802.80              23,034,516.79        -51.29%

    存货                776,855,844.31              719,700,188.25          7.94%

 持有待售资产              21,606,265.50              21,606,265.50          0.00%

 其他流动资产              54,465,706.20              21,489,072.19        153.46%

 流动资产合计            5,920,618,115.38            6,989,127,861.45        -15.29%

 长期股权投资              4,125,061.39                6,658,505.52          -38.05%

其他权益工具投资          311,650,512.52              36,650,512.52        750.33%

  固定资产              2,509,265,030.47            2,649,140,443.37        -5.28%

  在建工程              1,701,055,683.27            291,146,944.45        484.26%

  无形资产              417,767,833.74              407,112,485.97          2.62%

  开发支出                147,303.32                  343,145.18          -57.07%

    商誉                416,695,796.96              416,695,796.96          0.00%

 长期待摊费用              22,168,687.40              18,341,486.84          20.87%

 递延所得税资产            26,772,247.01              34,961,152.09        -23.42%

 其他非流动资产            324,305,255.28              304,452,361.68          6.52%

 非流动资产合计          5,759,714,544.83            4,199,476,424.01        37.15%

  资产总计              11,680,332,660.21          11,188,604,285.46        4.39%

  短期借款              888,027,361.10              924,100,000.00        -3.90%

  应付票据              2,243,287,549.36            2,073,059,869.49        8.21%

  应付账款              579,859,681.08              433,199,339.73        33.86%

  合同负债                31,100,448.39              31,832,217.40          -2.30%

    应付职工薪酬              37,303,822.61              46
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