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首页 公告 海康威视:2022年第三季度报告(英文版)

海康威视:2022年第三季度报告(英文版)

公告日期:2022-10-29

海康威视:2022年第三季度报告(英文版) PDF查看PDF原文

Stock Exchange Code:002415                    Abbreviation of Securities:Hikvision
No:2022-062

            Hangzhou Hikvision Digital Technology Co., Ltd.

                      2022 3rd Quarter Report

TheCompanyandallmembersoftheBoardofDirectorsguaranteethattheinformation
disclosed is true, accurate and complete without false records, misleading statements
or material omissions.
Important Content Notes:

1. The Board of Directors, Board of Supervisors, directors, supervisors and senior
  management of Hangzhou Hikvision Digital Technology Co., Ltd. (hereinafter
  referred to as the “Company”) hereby guarantee that the information presented in
  this report shall be together be wholly liable for the truthfulness, accuracy and
  completeness of its contents and free of any false records, misleading statements or
  material omissions, and will undertake individual and joint legal liabilities.

2. Chen Zongnian, the Company's legal representative, Jin Yan, the person in charge
  of the accounting work, and Zhan Junhua, the person in charge of accounting
  institution (accounting supervisor) hereby declare and warrant that the financial
  information in this report is authentic, accurate and complete.

3. Whether the 3rd quarter report has been audited

  □Yes√ No

I.  Key Financial Data

1. KeyAccounting Data and Financial Indicators

Whether the Company performed a retroactive adjustment or restatement of the previous accounting data

□Yes√ No

                                                                                                  Unit: RMB

                                                  YoY Change(%)                      YoY Change(%) between
                                  2022 Q3      between 2022 Q3 and    2022 Q1~Q3    2022 Q1~Q3 and 2021
                                                    2021 Q3                                Q1~Q3

Revenue (RMB)                  22,464,020,301.15            3.39%    59,721,536,891.77                7.36%

Net profit attributable to

shareholders of the Company        3,081,001,112.19          -31.29%    8,840,255,887.45              -19.38%
(RMB)
Net profit attributable to
shareholders of the Company

                                2,879,656,597.51          -35.61%    8,525,515,615.02              -20.28%
excluding non-recurring gains and
losses (RMB)
Net cash flows from operating

                                    —                —              160,117,141.04              -95.93%
activities (RMB)
Basic earnings per share

                                          0.331          -30.90%              0.938              -20.44%
(RMB/share)
Diluted earnings per share

                                          0.331          -30.90%              0.938              -20.37%
(RMB/share)

Weighted average ROE                      4.84%            -3.27%            13.64%              -6.52%

                              On September 30th 2022    On December 31st 2021  Change(%) between December 31st
                                                                              2021 and September 30th 2022

Total assets (RMB)                    110,264,398,002.69      103,864,543,195.18                        6.16%

Net assets attributable to

shareholders of the Company              65,309,509,415.09        63,460,886,665.26                        2.91%
(RMB)

The total share capital of the Company as of the previous trading day of the financial report disclosure:

The total share capital of the Company as of the previous trading day of the financial report disclosure            9, 433,208,719
(share)

Fully diluted earnings per share calculated using the latest share capital:

Fully diluted earnings per share (RMB/share) calculated with the latest share capital                                0.9371

2. Items andAmounts of Non-recurring Gains and Losses

√ Applicable □ Inapplicable

                                                                                                Unit:RMB

                        Item                        Amount occurred in the current      January 1st 2022–

                                                        reporting period (2022 Q3)      September 30th 2022

Profit or loss from disposal of non-current assets (including the                    -32,434.21              -11,345,706.57
write-off for the impairment provision of assets)

Government subsidies included in the current profit and loss

(except for government subsidies that are closely related to the

Company's regular business operations, comply with national                  170,159,929.69            331,748,670.49
policies, and those that are continuously enjoyed in accordance

with a certain standard fixed or quantitative basis)

Investment income from disposal of subsidiaries, other business                            -              4,635,870.42
units and other non-current financial assets

Profits and losses attributed to change in fair value for held-fo
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