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新诺威:2022年度财务决算报告

公告日期:2023-03-17

新诺威:2022年度财务决算报告 PDF查看PDF原文

              石药集团新诺威制药股份有限公司

                  2022 年度财务决算报告

        石药集团新诺威制药股份有限公司(以下简称“公司”)财务报表,包括 2022

    年 12 月 31 日的合并及母公司资产负债表,2022 年度的合并及母公司利润表、

    合并及母公司现金流量表、合并及母公司股东权益变动表,以及相关财务报表附

    注 已 经 信 永 中 和 会 计 师 事 务 所 ( 特 殊 普 通 合 伙 ) 审 计 , 并 出 具 了

    XYZH/2023HZAA1B0084 标准无保留意见的审计报告。

    一、主要财务数据和指标

                                        2021 年            本年比上年增            2020 年

                  2022 年                                        减

                                  调整前        调整后        调整后        调整前        调整后

营业收入(元)  2,626,488,832.  1,431,987,664.  1,849,677,007.        42.00%  1,317,414,122.  1,629,384,050.
                          63            46            18                            08            96

归属于上市公

司股东的净利  726,277,891.97  317,071,430.99  393,228,489.93        84.70%  299,835,756.44  332,168,769.41
润(元)
归属于上市公

司股东的扣除  657,608,747.31  298,498,249.98  298,498,249.98        120.31%  263,188,500.07  263,188,500.07
非经常性损益
的净利润(元)
经营活动产生

的现金流量净  640,717,518.79  170,592,336.20  292,085,994.15        119.36%  349,071,664.26  356,945,696.32
额(元)

基本每股收益        1.1734        0.5807        0.6353        84.70%        0.5491        0.5367
(元/股)

稀释每股收益        1.1734        0.5807        0.6353        84.70%        0.5491        0.5367
(元/股)

加权平均净资        20.11%        11.29%        13.41%          6.70%        11.82%        12.83%
产收益率

                                        2021 年末            本年末比上年            2020 年末

                2022 年末                                      末增减

                                  调整前        调整后        调整后        调整前        调整后

资产总额(元)  4,584,035,512.  3,225,776,209.  3,741,208,950.        22.53%  2,954,902,756.  3,315,347,935.
                          38            68            36                            59            58

归属于上市公  3,935,600,634.  2,952,078,874.  3,289,370,322.                2,678,111,938.2  2,763,471,118.
司股东的净资            14            74            06        19.65%              3            28
产(元)

    注:2022 年 11 月,公司通过发行股份收购石药集团圣雪葡萄糖有限责任公司(以下简称“石药

    圣雪”)100.00%的股权,此项重大资产重组事项属于同一控制下的企业合并。根据企业会计准则


      的相关规定,合并利润表应当包括参与合并各方自合并当期期初至合并日所发生的收入、费用和

      利润。被合并方在合并前实现的净利润,应当在合并利润表中单列项目反映。因此上述财务指标

      与已披露季度报告、半年度报告相关财务指标存在差异。

    二、资产及负债状况

                                                                                          单位:元

                          2022 年末                      2022 年初

                    金额        占总资产比        金额        占总资产比    比重增减  重大变动说明
                                      例                              例

                                                                                            主要原因为公
                                                                                            司销售商品收
 货币资金        2,195,684,427.95        47.90%    1,244,407,449.36        33.26%    14.64%  到货币资金增
                                                                                            加及公司现金
                                                                                            管理到期赎回
                                                                                            所致。

 应收账款        481,379,233.73        10.50%      326,807,311.55        8.74%      1.76%  无重大变动

 存货            238,125,791.53        5.19%      262,003,480.59        7.00%      -1.81%  无重大变动

 长期股权投资    253,488,895.12        5.53%      243,185,931.33        6.50%      -0.97%  无重大变动

                                                                                            主要原因为“阿
                                                                                            卡波糖绿色工
 固定资产        984,018,362.29        21.47%      630,627,580.72        16.86%      4.61%  厂升级技术改
                                                                                            造项目”转固所
                                                                                            致。

                                                                                            主要原因为公
 在建工程          70,735,076.79        1.54%      294,970,794.80        7.88%      -6.34%  司部分在建工
                                                                                            程转固所致。

 使用权资产                                            823,153.61        0.02%      -0.02%  无重大变动

 合同负债          68,259,661.19        1.49%      30,366,227.10        0.81%      0.68%  无重大变动

                                                                                            主要原因为石
 长期借款          19,800,000.00        0.43%                                      0.43%  药圣雪银行贷
                                                                                            款增加所致。

    三、2022 年度经营成果

                                                                                          单位:元

                                            2022 年                2021 年            本年比上年增减

营业收入                                    2,626,488,832
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