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首页 公告 开润股份:2022年度财务决算报告

开润股份:2022年度财务决算报告

公告日期:2023-04-27

开润股份:2022年度财务决算报告 PDF查看PDF原文

证券代码:300577      证券简称:开润股份        公告编号:2023-028
债券代码:123039        债券简称:开润转债

                安徽开润股份有限公司

                2022 年度财务决算报告

    本公司及董事会全体成员保证信息披露内容的真实、准确和完整,没有虚 假记载、误导性陈述或重大遗漏。

    安徽开润股份有限公司(以下简称“公司”、“本公司”)2022 年度财务报
告已经容诚会计师事务所(特殊普通合伙)审计,并出具了标准无保留意见的审计报告。现结合公司实际经营情况,将财务决算情况报告如下:

    一、2022 年度主要财务指标

    报告期内,公司实现营业收入 2,740,992,092.80 元,同比增长 19.75%;归属
于上市公司股东的净利润 46,868,521.11 元,同比减少 73.98%。具体情况如下:
                                                                      单位:元

                            2022 年            2021 年      本年比上年增减

 营业收入(元)          2,740,992,092.80    2,288,965,219.73            19.75%

 归属于上市公司股东的      46,868,521.11      180,097,266.88            -73.98%
 净利润(元)
 归属于上市公司股东的

 扣除非经常性损益的净      20,158,041.18      96,055,913.91            -79.01%
 利润(元)

 经营活动产生的现金流      106,668,959.73      47,431,155.37          124.89%
 量净额(元)

 基本每股收益(元/股)              0.20              0.75            -73.33%

 稀释每股收益(元/股)              0.20              0.74            -72.97%

 加权平均净资产收益率              2.76%            11.06%            -8.30%

                            2022 年末          2021 年末      本年末比上年末增
                                                            减

 资产总额(元)          3,516,343,481.76    3,512,868,985.65            0.10%

 归属于上市公司股东的    1,713,364,262.60    1,686,884,772.37            1.57%
 净资产(元)

    二、财务状况、经营成果和现金流量情况分析

    (一)资产负债情况


                                                                      单位:元

          项目            2022 年 12 月 31 日    2022 年 1 月 1 日    同比增减

  货币资金                      679,182,912.87      847,636,287.44  -19.87%

  应收账款                      479,376,670.50      477,446,427.51    0.40%

  存货                          599,773,497.78      533,014,284.09    12.52%

 流动资产合计                  1,934,353,452.83    2,052,827,187.02    -5.77%

  长期股权投资                  641,003,401.67      677,799,175.40    -5.43%

  固定资产                      441,199,160.97      222,292,400.59    98.48%

  在建工程                      110,082,291.34      151,745,178.74  -27.46%

 非流动资产合计                1,581,990,028.93    1,460,041,798.63    8.35%

 资产总计                      3,516,343,481.76    3,512,868,985.65    0.10%

  短期借款                      479,023,354.13      530,394,049.56    -9.69%

  应付账款                      361,834,055.23      476,868,473.28  -24.12%

  应付职工薪酬                  72,098,593.73        74,910,316.20    -3.75%

 流动负债合计                  1,433,480,508.56    1,359,226,700.79    5.46%

 负债合计                      1,749,058,088.88    1,781,476,574.62    -1.82%

 归属于母公司所有者权益合      1,713,364,262.60    1,686,884,772.37

 计                                                                    1.57%

 所有者权益合计                1,767,285,392.88    1,731,392,411.03    2.07%

 负债和所有者权益总计          3,516,343,481.76    3,512,868,985.65    0.10%

    本期末固定资产同比增长 98.48%,主要系报告期内滁州出行产业园及印尼
产业园部分工厂投入使用。

    (二)盈利情况情况

                                                                      单位:元

            项目                2022 年度          2021 年度      同比增减

 营业总收入                    2,740,992,092.80      2,288,965,219.73    19.75%

  其中:营业收入              2,740,992,092.80      2,288,965,219.73    19.75%

 营业总成本                    2,622,635,480.59      2,222,084,684.93    18.03%

  其中:营业成本              2,148,248,298.08      1,680,534,613.48    27.83%

        销售费用                189,557,708.06      269,097,697.89    -29.56%

        管理费用                198,695,829.73      170,008,007.70    16.87%

        研发费用                56,638,671.65        63,000,563.28    -10.10%

        财务费用                20,577,363.96        30,939,910.85    -33.49%

 营业利润                        83,170,329.08      194,583,348.80    -57.26%

 利润总额                        78,663,361.19      194,586,775.18    -59.57%

 归属于母公司股东的净利润        46,868,521.11      180,097,266.88    -73.98%

    (1) 本期财务费用同比减少 33.49%,主要系报告期内汇兑净收益金额较
大。

    (2) 本期归属于母公司股东的净利润同比减少 73.98%,主要系报告期内
政府补助金额同比下降、参股公司受市场波动影响发生亏损等。

    (三)现金流情况

                                                                      单位:元

            项目                2022 年度        2021 年度      同比增减

 经营活动现金流入小计          3,149,123,584.12  2,549,802,301.99        23.50%

 经营活动现金流出小计          3,042,454,624.39  2,502,371,146.62        21.58%

 经营活动产生的现金流量净额      106,668,959.73    47,431,155.37        124.89%

 投资活动现金流入小计            373,437,563.00  305,896,131.82        22.08%

 投资活动现金流出小计            599,495,259.41  741,945,843.66        -19.20%

 投资活动产生的现金流量净额      -226,057,696.41  -436,049,711.84        48.16%

 筹资活动现金流入小计            531,343,795.00  706,067,046.29        -24.75%

 筹资活动现金流出小计            562,409,273.24  549,459,553.84          2.36%

 筹资活动产生的现金流量净额      -31,065,478.24  156,607,492.45        -119.84%

 期末现金及现金等价物余额        629,988,113.89  781,280,676.73        -19.36%

    (1) 经营活动现金流量净额较去年同比增长 124.89%,主要原因系本期销
售商品收到的现金及税费返还增加。

    (2) 投资活动现金流量净额同比增长 48.16%,主要原因系本期减少了对
外投资。

    (3) 筹资活动现金流量净额同比减少 119.84%,主要原因系本期借款减少。
    
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