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首页 公告 同花顺:2022年财务决算报告

同花顺:2022年财务决算报告

公告日期:2023-02-28

同花顺:2022年财务决算报告 PDF查看PDF原文

          浙江核新同花顺网络信息股份有限公司

                2022 年度财务决算报告

      报告期内,公司继续聚焦互联网金融信息服务领域,紧紧围绕整体战略目标,

  坚持以用户需求为中心,加强产品和服务的研发创新,持续提升整体服务质量和

  水平。

      报告期内,由于客户对公司广告业务需求增加,以及公司通过人工智能技术

  不断提升广告投放效果,广告及互联网业务推广服务收入增加;但由于受证券市

  场波动,疫情等因素影响,增值电信服务、软件销售及维护、基金销售等业务收

  入同比去年所有下降。同时,由于公司不断加大研发投入,研发费用有所增加。

  综上,报告期内实现归属于母公司的净利润同比有所下降。

      一、2022 年度财务报表审计情况

      2022 年度财务报表经天健会计师事务所(特殊普通合伙)审计,出具了标

  准无保留意见的审计报告(天健审〔2023〕158 号),天健会计师事务所认为公

  司的财务报表已经按照企业会计准则以及有关规定编制,在所有重大方面公允地

  反映了公司 2022 年 12 月 31 日的财务状况以及 2022 年度经营成果和现金流量。

      二、经营利润情况

                                                                  单位:人民币元

 项 目            2022 年度            2021 年度      增减幅    大额变动原因说明
                                                          度

营业总收入      3,559,137,454.21  3,509,864,834.40    1.40%

                                                              主要系员工的薪酬、
 营业成本          369,626,159.97    301,317,736.88  22.67% 采购的信息使用费、
                                                              缴纳的税费等增加所
                                                              致等增加所致

 销售费用          367,920,696.32    337,227,128.24    9.10%

 管理费用          160,752,462.51    145,737,119.70  10.30%


                                                                主要系加大研发投
 研发费用        1,067,071,449.13    828,475,501.28  28.80% 入,研发人员薪酬增
                                                                加所致

 财务费用        -184,261,504.10    -173,438,507.19  -6.24%

归属于母公司      1,691,183,951.95  1,911,204,641.07  -11.51%

股东的净利润

 每股收益                    3.15              3.56  -11.52%

      三、资产负债情况

                                                                    单位:人民币元

    项 目        2022 年 12 月 31 日  2021 年 12 月 31 日  增减幅度  大额变动原因说明

    货币资金        7,538,370,996.44  7,274,781,579.77      3.62%

    应收账款          37,783,414.99    40,593,609.23    -6.92%

  其他应收款          30,265,918.76    29,483,048.38      2.66%

  其他流动资产          8,697,748.09    11,019,392.06    -21.07% 主要系留抵增值税
                                                                  进项税减少所致

  流动资产合计      7,615,929,788.28  7,356,297,629.44      3.53%

                                                                  主要系总部基地大
    固定资产          700,620,878.63    405,562,055.86    72.75% 楼结转固定资产投
                                                                  入使用所致

    在建工程          346,224,205.76    362,949,736.39    -4.61%

    无形资产          347,249,901.25    355,247,647.57    -2.25%

 非流动资产合计    1,411,607,934.60  1,144,918,668.05    23.29%

    资产总计        9,027,537,722.88  8,501,216,297.49      6.19%

    应付账款          110,188,213.15    79,107,341.28    39.29% 主要系应付工程款
                                                                  增加所致

    合同负债          981,578,448.34  1,043,628,807.13    -5.95%

  应付职工薪酬        205,003,414.36    163,914,453.30    25.07% 主要系计提年终奖
                                                                  增加所致

    应交税费          174,079,022.62    203,506,634.28    -14.46%


    其他应付款        209,576,764.18    464,450,645.12    -54.88% 主要系应付代理买
                                                                    卖基金款减少所致

    流动负债合计      1,681,749,719.44  1,955,052,644.83    -13.98%

  其他非流动负债        97,458,411.75    66,010,526.99    47.64%  主要系一年以上软
                                                                      件服务费增加所致

  非流动负债合计      100,608,579.33    69,448,809.41    44.87%

      负债合计        1,782,358,298.77  2,024,501,454.24    -11.96%

        股本          537,600,000.00    537,600,000.00      0.00%

      资本公积          356,775,876.82    356,775,876.82      0.00%

      盈余公积          360,815,351.25    360,815,351.25      0.00%

    未分配利润      5,974,898,365.40  5,251,394,413.45    13.78%

    股东权益合计      7,245,179,424.11  6,476,714,843.25    11.87%

 负债和股东权益总计  9,027,537,722.88  8,501,216,297.49      6.19%

        四、现金流情况

                                                                      单位:人民币元

      项目            2022 年度          2021 年度      增减幅度    大额变动原因说明

                                                                  主要系报告期内支
经营活动产生的现金 1,749,608,773.73  2,127,812,005.30  -17.77% 付给员工的薪酬、采
流量净额                                                            购的信息使用费等
                                                                  增加所致

投资活动产生的现金                                                主要系报告期内总
流量净额            -290,419,782.27    -236,303,447.54  -22.90% 部大楼、未来科技园
                                                                  工程投入增加所致

筹资活动产生的现金                                                主要系报告期内支
流量净额            -968,650,486.38    -646,090,486.38  -49.92% 付的现金分红增加
                                                                  所致

现金及现金等价物净  543,663,799.71  1,232,819,359.48  -55.90%

增加额

        五、主要财务指标

              项  目                    2022 年度        2021 年度        增减幅度

                  销售毛利率                89.61%        91.42%            -1.81%
    盈利能力

                  净资产收益率  
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