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泰和科技:2022年年度财务决算报告

公告日期:2023-03-24

泰和科技:2022年年度财务决算报告 PDF查看PDF原文

              山东泰和科技股份有限公司

                2022 年年度财务决算报告

      山东泰和科技股份有限公司(以下简称“公司”)2022 年年度财务报表已
  经 信 永 中 和 会 计 师 事 务 所 ( 特 殊 普 通 合 伙 ) 审 计 , 并 出 具 了
  XYZH/2023JNAA1B0006 标准无保留意见的审计报告。

      为了更全面、详细地了解公司 2022 年的财务状况和经营成果,现将 2022
  年度财务决算报告情况汇报如下:

      一、2022 年度主要财务数据

                                单位:人民币元(除特别注明外,以下单位相同)

            项目                  2022 年度        2021 年度        与上年增减

          营业收入            2,727,016,064.17    2,209,112,905.06      23.44%

          营业成本            2,094,190,906.56    1,718,055,513.59      21.89%

          营业利润              474,904,330.35    323,377,554.50        46.86%

  归属于上市公司股东的净利润    397,628,099.01    278,478,638.37        42.79%

归属于上市公司股东的扣除非经常  391,104,439.48    265,741,711.52        47.17%
      性损益后净利润

  经营活动产生的现金流量净额    476,754,998.25    254,894,435.70        87.04%

        期末总股本            217,410,000.00    216,000,000.00        0.65%

          资产总额            2,907,785,475.07    2,556,205,246.87      13.75%

          负债总额              533,504,969.97    440,374,236.32        21.15%

归属于上市公司股东的所有者权益  2,374,630,031.56    2,115,908,685.55      12.23%
            合计

    二、2022 年度主要财务指标

          项目              2022 年度      2021 年度        本年比上年增减

  基本每股收益(元/股)        1.8376        1.2893              42.53%

 加权平均净资产收益率(%)    17.64%        14.12%              3.52%

 归属于上市公司股东的每股净    10.92          9.8                11.43%

      资产(元/股)

        流动比率              4.00          3.84                4.17%

        速动比率              3.02          3.32              -9.04%


        资产负债率            18.35%        17.23%              1.12%

      应收账款周转率          11.77          11.94              -1.42%

        存货周转率            10.94          12.88              -15.06%

        总资产周转率            1.00          0.94                6.38%

      三、2022 年公司财务状况

      1、资产构成状况

    项目      2022 年 12 月 31 日  2021 年 12 月 31 日    增减额      变动幅度

  货币资金      588,346,307.71      873,977,306.90    -285,630,999.19    -32.68%

 交易性金融资产    285,000,303.01      222,239,040.00    62,761,263.01    28.24%

  应收款项融资    34,272,235.85      44,291,995.08    -10,019,759.23    -22.62%

  应收账款      236,376,168.91      227,067,033.08    9,309,135.83      4.10%

  预付款项      56,064,720.56      47,476,671.31      8,588,049.25      18.09%

  其他应收款      45,171,126.17      60,729,070.84    -15,557,944.67    -25.62%

    存货        211,501,394.42      171,277,954.48    40,223,439.94    23.48%

  其他流动资产    117,523,784.61      6,808,310.84    110,715,473.77    1,626.18%

  流动资产合计    1,574,256,041.24    1,653,867,382.53    -79,611,341.29    -4.81%

其他权益工具投资  135,403,424.68      160,748,099.64    -25,344,674.96    -15.77%

  固定资产      452,590,841.27      365,482,294.28    87,108,546.99    23.83%

  在建工程      427,517,335.59      276,927,305.09    150,590,030.50    54.38%

  使用权资产      155,017,370.78          -          155,017,370.78      -

  无形资产      106,204,066.19      64,630,261.42    41,573,804.77    64.33%

  长期待摊费用      1,106,096.02            -          1,106,096.02        -

 递延所得税资产    12,151,264.68      13,705,777.09    -1,554,512.41    -11.34%

 其他非流动资产    43,539,034.62      20,844,126.82    22,694,907.80    108.88%

 非流动资产合计  1,333,529,433.83    902,337,864.34    431,191,569.49    47.79%

  资产总计      2,907,785,475.07    2,556,205,246.87  351,580,228.20    13.75%

  超过 30%增减变动的说明:

      (1)货币资金较去年减少 32.68%,主要系公司购置长期资产及购买理财所
  致;

      (2)其他流动资产较去年增加 1,626.18%,主要系公司提供委托贷款所致;

    (3)在建工程较去年增加 54.38%,主要系公司工程投入增加所致;

    (4)使用权资产较去年增加 15,501.74 万元,主要系公司租赁资产所致;
    (5)无形资产较去年增加 64.33%,主要系公司购买土地所致;

    (6)长期待摊费用较去年增加 110.61 万元,主要系公司租赁生产线改造所
致;

    (7)其他非流动资产较去年增加 108.88%,主要系本期预付工程设备款所
致。

    2、负债构成情况

    项目      2022 年 12 月 31 日 2021 年 12 月 31 日      增减额      变动幅度

  应付票据      153,645,200.00    208,924,400.00    -55,279,200.00    -26.46%

  应付账款      105,895,493.97    106,476,614.79      -581,120.82      -0.55%

  合同负债      24,048,903.88      39,321,858.68    -15,272,954.80    -38.84%

 应付职工薪酬    44,945,367.18      29,548,166.18    15,397,201.00    52.11%

  应交税费      34,119,114.02      44,469,246.08    -10,350,132.06    -23.27%

 其他应付款      1,656,815.27        598,609.67      1,058,205.60    176.78%

一年内到期的非  28,005,611.70          -          28,005,611.70        -

  流动负债

 其他流动负债    1,308,513.00      1,264,710.95        43,802.05      3.46%

 流动负债合计    393,625,019.02    430,603,606.35    -36,978,587.33    -8.59%

  租赁负债      133,950,298.26          -          133,950,298.26      -

  递延收益      4,358,777.55      5,379,777.55      -1,021,000.00    -18.98%

递延所得税负债    1,570,875.14      4,390,852.42      -2,819,977.28    -64.22%

非流动负债合计  139,879,950.95      9,770,629.97    130,109,320.98    1331.64%

  负债合计      533,504,969.97    440,374,236.32    93,130,733.65    21.15%

超过 30%增减变动的说明:

    (1)合同负债较去年减少 38.84%,主要系公司预收款项减少所致;

    (2)应付职工薪酬较去年增加 52.11%,主要系公司本期职工薪酬增长所致;
    (3)其他应付款较去年增加 176.78%,主要系公司收到保证金所致;

    (4)一年内到期的非流动负债较去年增加 2,800.56 万,主要系公司一年内
 即将支付的租赁负债所致;
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