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凯伦股份:2022年年度财务报告

公告日期:2023-04-28

凯伦股份:2022年年度财务报告 PDF查看PDF原文

                    江苏凯伦建材股份有限公司

                      2022 年度财务决算报告

            2022 年,在公司管理层的领导和全体员工的共同努力下,公司的经营规模

        相对稳定。根据《公司章程》的规定,现将公司 2022 年财务决算情况报告如下:

            一、财务报表审计情况

            报告期内,公司财务报表在所有重大方面按照企业会计准则的规定编制,

        公允反映了企业 2022 年 12 月 31 日的合并及母公司财务状况及 2022 年度的合

        并及母公司经营成果和现金流量。公司编制的 2022 年度财务报表经天健会计师

        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天健审天

        健审〔2023〕3678 号

            二、主要会计数据和财务指标

                                                2021 年          本年比上年        2020 年

                          2022 年                                  增减

                                        调整前      调整后      调整后      调整前      调整后

营业收入(元)        2,127,605,220.  2,585,783,9  2,585,783,9    -17.72%  2,007,646,  2,007,646,
                                  02        25.51        25.51                  596.20      596.20

归属于上市公司股东的              -  71,923,477.  71,923,477.    -321.09%  278,551,61  278,551,61
净利润(元)          159,018,962.78          59          59                    4.56        4.56

归属于上市公司股东的              -  30,325,113.  30,325,113.              259,446,00  259,446,00
扣除非经常性损益的净  173,623,637.99          85          85    -672.54%        6.48        6.48
利润(元)

经营活动产生的现金流                            -            -                      -          -
量净额(元)            46,368,524.04  383,841,670  339,441,670    113.66%  111,344,96  111,344,96
                                              .19          .19                    3.33        3.33

基本每股收益(元/股)          -0.42          0.2        0.20    -310.00%        0.91        0.91

稀释每股收益(元/股)          -0.42          0.2        0.20    -310.00%        0.91        0.91

加权平均净资产收益率          -6.21%        3.30%        3.30%      -9.51%      23.36%      23.36%

                                              2021 年末          本年末比上        2020 年末

                        2022 年末                                年末增减

                                        调整前      调整后      调整后      调整前      调整后

资产总额(元)        6,141,884,381.  5,627,991,2  5,627,991,2      9.13%  3,478,576,  3,478,576,
                                  15        16.84        16.84                  453.06      453.06

归属于上市公司股东的  2,364,918,106.  2,814,946,4  2,814,946,4    -15.99%  1,336,449,  1,336,449,
净资产(元)                      52        07.98        07.98                  161.28      161.28

            三、财务状况分析


    (一)资产情况

      项目            2022 年 12 月 31 日        2022 年 1 月 1 日        增减幅度

货币资金                  1,620,285,220.93      1,531,619,712.91          5.79%

应收票据                    252,591,328.49        337,853,735.05        -25.24%

应收账款                  1,697,500,887.91      1,680,850,059.37          0.99%

应收款项融资                  11,698,468.65          16,581,143.80        -29.45%

预付款项                      68,632,525.60          69,545,153.76        -1.31%

其他应收款                  263,106,631.08        279,693,669.56        -5.93%

存货                        142,881,970.88        228,692,735.19        -37.52%

合同资产                    107,324,611.06          86,919,674.10        23.48%

其他流动资产                  75,073,039.40          96,599,764.64        -22.28%

长期股权投资                  8,700,146.59                      -              -

其他非流动金融资产            17,400,000.00          12,400,000.00        40.32%

固定资产                  1,013,741,352.68        833,611,104.89        21.61%

在建工程                    343,741,019.16        138,540,334.45        148.12%

使用权资产                    9,274,583.15          7,357,386.06        26.06%

长期待摊费用                    213,794.19            316,863.51        -32.53%

递延所得税资产              101,256,712.81          61,719,490.74        64.06%

其他非流动资产              259,213,741.43          91,757,454.60        182.50%

    主要项目变动原因如下:

    1、存货较期初减少 37.52%,主要系报告期内原材料及库存商品减少所致;

    2、其他非流动金融资产较期初增加 40.32%,主要系报告期内公司加大股权

 投资所致;

    3、在建工程较期初增加 148.12%,主要系报告期内公司生产基地建设所致;

    4、长期待摊费用较期初减少 32.53%,主要系报告期装修费摊销所致;

    5、递延所得税资产较期初增加 64.06%,主要系报告期内公司信用减值损失

 增加所致;

    6、其他非流动资产较期初增加 182.50%,主要系报告期内公司预付工程设

 备款增加及预付购房款所致。

    (二)负债状况

      项目            2022 年 12 月 31 日        2022 年 1 月 1 日        增减幅度

短期借款                    1,182,307,821.07          695,550,160.01        69.98%

应付票据                      232,969,973.32          461,909,168.16        -49.56%

应付账款                      645,349,017.87          493,572,221.75        30.75%

合同负债                      103,917,921.03          87,951,171.97        18.15%

其他应付款                      55,414,858.56          125,926,385.43        -55.99%

一年内到期的非流动          186,336,683.98          85,853,192.12        117.04%
负债

其他流动负债                  146,745,834.33          30,966,607.27        373.88%

长期借款                    1,063,058,538.32          604,204,382.96        75.94%

租赁负债                        3,968,112.69            2,986,229.58        32.88%

预计负债                        3,866,693.41          18,763,355.55        -79.39%

递延收益                       
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