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首页 公告 德尔股份:阜新德尔汽车部件股份有限公司2022年度财务决算报告

德尔股份:阜新德尔汽车部件股份有限公司2022年度财务决算报告

公告日期:2023-04-27

德尔股份:阜新德尔汽车部件股份有限公司2022年度财务决算报告 PDF查看PDF原文

            阜新德尔汽车部件股份有限公司

              2022 年度财务决算报告

  阜新德尔汽车部件股份有限公司(以下简称“本公司”或“公司”)2022 年度公司财务报表已经普华永道中天会计师事务所(特殊普通合伙)审计,并出具了普华永道中天审字(2023)第 10052 号的标准无保留意见的审计报告。现将公司有关的财务决算情况汇报如下:
一、主要会计数据和财务指标

                                                                              单位:人民币元

                    项目                          2022 年          2021 年      增减(%)

营业总收入(元)                                4,035,389,734.42    3,663,844,900.34      10.14%

归属于上市公司股东的净利润(元)                  -916,304,562.44      23,561,503.66  -3,988.99%

归属于上市公司股东的扣除非经常性损益的净利润

(元)                                            -937,567,733.08      12,889,863.53  -7,373.68%

经营活动产生的现金流量净额(元)                  293,874,350.65      39,340,870.34    647.00%

基本每股收益(元/股)                                      -6.54              0.18  -3,733.33%

稀释每股收益(元/股)                                      -6.54              0.18  -3,733.33%

加权平均净资产收益率                                    -53.08%            1.09%      -54.17%

                    项目                          2022 年末        2021 年末      增减(%)

资产总额(元)                                  4,230,050,054.85    4,660,433,598.71      -9.23%

归属于上市公司股东的净资产(元)                1,474,406,848.54    2,108,606,958.43      -30.08%

二、资产情况及主要变动原因分析

                                                                              单位:人民币元

        资产            2022 年 12 月 31 日  2021 年 12 月 31 日      增减额        增减(%)

货币资金                      571,832,561.62      243,244,400.27      328,588,161.35      135.09%

交易性金融资产                            -        450,889.53        -450,889.53      -100.00%

应收票据                      45,453,738.52      99,539,720.88      -54,085,982.36      -54.34%

应收账款                      659,333,631.93      663,091,207.17      -3,757,575.24        -0.57%

应收款项融资                  19,274,147.95      22,976,041.65      -3,701,893.70      -16.11%

预付款项                      64,420,642.58      41,422,325.80      22,998,316.78      55.52%

其他应收款                    27,625,015.68      43,934,270.97      -16,309,255.29      -37.12%

存货                          776,646,819.30      774,727,517.79        1,919,301.51        0.25%

一年内到期的非流动资产          1,194,207.00                  -        1,194,207.00      100.00%

其他流动资产                  82,810,810.75      59,649,723.69      23,161,087.06      38.83%

长期应收款                    23,720,840.25      31,008,947.32      -7,288,107.07      -23.50%

投资性房地产                  43,703,645.26      39,676,518.29        4,027,126.97      10.15%

固定资产                    1,046,616,413.67      981,342,356.19      65,274,057.48        6.65%

在建工程                      87,506,844.81      75,431,579.94      12,075,264.87      16.01%

使用权资产                    210,742,947.40      230,256,016.15      -19,513,068.75        -8.47%

无形资产                      303,479,321.39      316,743,917.02      -13,264,595.63        -4.19%

开发支出                      30,949,247.10      36,274,678.01      -5,325,430.91      -14.68%

商誉                                      -      721,104,352.79    -721,104,352.79      -100.00%

长期待摊费用                  67,969,375.82      65,154,511.79        2,814,864.03        4.32%

递延所得税资产                103,071,106.58      102,597,378.88          473,727.70        0.46%

其他非流动资产                63,698,737.24      111,807,244.58      -48,108,507.34      -43.03%

资产总计                    4,230,050,054.85    4,660,433,598.71    -430,383,543.86        -9.23%

1、 货币资金较上年增加 32,858.82 万元,增幅 135.09%,主要系报告期内经营活
  动及筹资活动现金净流入较大所致。
2、 应收票据较上年减少 5,408.60 万元,降幅 54.34%,主要系期末持有的未到期
  的银行承兑汇票减少所致。
3、 预付款项较上年增加 2,299.83 万元,增幅 55.52%,主要系公司预付的模具款
  增加所致。
4、 其他应收款较上年减少 1,630.93 万元,降幅 37.12%,主要系收回为客户代垫
  关税款所致。
5、 其他流动资产较去年上升 2,316.11 万元,增幅 38.83%,主要系公司待抵扣进
  项税增加所致。

6、 商誉较上年减少 72,110.44 万元,降幅 100.00%,主要系收购 Carcoustics 形

  成的商誉全额计提减值准备所致。
三、负债情况及主要变动原因分析

                                                                              单位:人民币元

          负债          2022 年 12 月 31 日  2021 年 12 月 31 日      增减额        增减(%)

短期借款                      299,647,667.90      410,734,512.57    -111,086,844.67      -27.05%

应付票据                      170,049,865.51      77,999,998.52      92,049,866.99      118.01%

应付账款                      691,759,633.60      661,557,272.45      30,202,361.15        4.57%

合同负债                      13,770,794.70      20,032,338.26      -6,261,543.56      -31.26%

应付职工薪酬                  96,622,023.33      63,832,298.28      32,789,725.05        51.37%

应交税费                      26,902,732.08      36,117,890.30      -9,215,158.22      -25.51%

其他应付款                    156,669,923.15      122,656,906.00      34,013,017.15        27.73%

一年内到期的非流动负债        187,584,235.83      232,590,726.19      -45,006,490.36      -19.35%

其他流动负债                    605,429.37        613,512.62          -8,083.25        -1.32%

长期借款                      476,746,707.14      330,429,053.15      146,317,653.99        44.28%

应付债券                      251,285,035.57      2
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