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首页 公告 捷捷微电:捷捷微电2022年度财务决算报告

捷捷微电:捷捷微电2022年度财务决算报告

公告日期:2023-04-20

捷捷微电:捷捷微电2022年度财务决算报告 PDF查看PDF原文

              江苏捷捷微电子股份有限公司

                2022 年度财务决算报告

    2022 年度,江苏捷捷微电子股份有限公司(以下简称“公司”)在公司全体员工
的共同努力下,顺利完成了预定的目标。公司 2022 年度相关财务数据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。

    2022 年度公司财务决算报告如下:

    一、经营业绩

    报告期内,公司实现营业收入 182,351.06 万元,较上年同期增长 2.86%;营业利
润 37,272.75 万元,同比减少 34.66%;利润总额 37,197.05 万元,同比减少
34.65%;净利润 35,548.94 万元,同比减少 27.82%;归属于上市公司股东的净利润
35,945.43 万元,去年同期 49705.69 万元,同比减少 27.68%。基本每股收益 0.49
元,去年同期 0.68 元,同比减少 27.94%。

    报告期末, 公司总 资产为 762,482.45 万元, 同比增 长 33.15%;股 本为
73,662.07 万元;所有者权益为 423,201.74 万元,同比增长 7.73%;归属于上市公司股东的所有者权益为 357,969.91 万元,同比增长 9.50%。

    报告期末公司主要会计数据和财务指标:

                                                                        单位:元

          项目                  2022 年              2021 年        同比增减

        营业收入          1,823,510,570.80      1,772,800,861.84      2.86%

  归属于上市公司股东的净    359,454,254.44        497,056,872.37      -27.68%

          利润

  归属于上市公司股东的扣    300,299,217.14        458,768,737.35      -34.54%

  除非经常性损益的净利润

  经营活动产生的现金流量    337,294,145.56        396,381,073.76      -14.91%

          净额

  基本每股收益(元/股)          0.49                  0.68          -27.94%


稀释每股收益(元/股)          0.46                  0.64          -28.13%

 加权平均净资产收益率          10.50%                17.88%          -7.38%

      项目                2022 年末            2021 年末        同比增减

      资产总额          7,624,824,487.22      5,726,489,037.73      33.15%

        股本            736,620,742.00        736,717,634.00      -0.01%

    所有者权益        4,232,017,418.89      3,928,476,003.78      7.73%

归属于上市公司股东的净  3,579,699,142.16      3,269,250,995.43      9.50%

        资产

  二、财务状况

 ( 一 ) 报 告 期 末 资 产 及 负 债 构 成 同 比 变 化 情 况 及 主 要 影 响 因 素 :
                                                                    单位:元

              项目          2022 年末          2021 年末        同比增减

      货币资金              535,461,413.08      753,264,687.13          -28.91%

  交易性金融资产          896,573,602.92    1,330,027,543.83          -32.59%

      应收票据              20,344,394.70      211,835,783.99          -90.40%

      应收账款              430,218,163.35      323,264,524.47          33.09%

    应收款项融资            221,434,401.38      72,870,644.56          203.87%

      预付款项                7,596,486.25        4,868,728.93          56.03%

    其他应收款              7,848,636.88        7,004,028.89          12.06%

        存货                508,310,138.15      303,691,854.26          67.38%

    其他流动资产            265,707,985.78      69,269,131.25          283.59%

    流动资产合计          2 ,893,495,222.49    3,076,096,927.31          -5.94%

      固定资产            2,460,928,172.66      947,956,756.00          159.60%

      在建工程            1,689,522,485.61      761,838,794.77          121.77%

    使用权资产              11,736,524.91      12,617,030.05          -6.98%

      无形资产              135,458,148.59      119,532,094.19          13.32%

      长期待摊费用              4,955,851.02        2,921,402.03          69.64%

      递延所得税资产            54,476,401.60      26,357,248.81          106.68%

      其他非流动资产          374,251,680.34      779,168,784.57          -51.97%

    非流动资产合计        4 ,731,329,264.73    2,650,392,110.42          78.51%

        资产总计            7 ,624,824,487.22    5,726,489,037.73          33.15%

        短期借款              184,459,033.62                0.00

        应付票据              158,421,374.61      222,926,196.84          -28.94%

        应付账款              724,964,658.05      229,817,167.95          215.45%

        合同负债              10,677,107.79      32,093,103.07          -66.73%

      应付职工薪酬            49,691,709.57      60,353,519.55          -17.67%

        应交税费              19,913,378.74      24,995,296.89          -20.33%

      其他应付款              37,065,871.48      51,163,547.48          -27.55%

  一年内到期的非流动负债        27,937,189.23        3,826,703.15          630.06%

      其他流动负债              3,009,391.80        4,937,103.70          -39.05%

      流动负债合计          1 ,216,139,714.89      630,112,638.63          93.00%

        长期借款            1,101,328,121.28      192,791,024.00          471.25%

        应付债券              956,346,879.22      896,995,639.29            6.62%

        租赁负债                8,499,905.38        7,078,731.30          20.08%

        递延收益              109,506,407.13      69,082,478.89          58.52%

      递延所得税负债              986,040.43        1,952,521.84          -49.50%

    非流动负债合计        2 ,176,667,353.44    1,167,900,395.32          86.37%

        负债合计            3 ,392,807,068.33    1,798,013,033.95          88.70%

    主要变动原因:

    1、截至 2022 年末,公司货币资金余额为 53,546.14 万元,较年初减少 28.91%,
主要原因系公司对正在进行的建设项目持续投入所致。


    2、截至 2022 年末,公司交易性金融资产余额为 89,657.36 万元,较年初减少
32.59%,主要原因系公司利用部分闲置资金购买结构性存款减少所致。

    3、截至 2022 年末,公司应收票据余额为 2,034.44 万元,较年初减少 90.40%,
主要系公司承兑汇票不再用票据质押开具,而是用信用额度开具以及期初余额为质押的银行承兑汇票,本期银行承兑汇票全部重分类至应收款项融资所致。

    4、截至 2022 年末,公司应收账款余额为 43,021.82 万元,较年初增加 33.09%,
主要系 MOS 业务销售收入增长导致应收账款增加。

    5、截至 2022 年末,公司应收款项融资余额为 22,143.44 万元,较年初增加
203.8
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