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首页 公告 津荣天宇:公司2022年度财务决算报告

津荣天宇:公司2022年度财务决算报告

公告日期:2023-04-26

津荣天宇:公司2022年度财务决算报告 PDF查看PDF原文

                    天津津荣天宇精密机械股份有限公司

                          2022 年度财务决算报告

      天津津荣天宇精密机械股份有限公司(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
  表附注已经公证天业会计师事务所(特殊普通合伙)审计,并出具了苏公
  W[2023]A710 号标准无保留意见的审计报告。

  一、主要财务数据和指标

                      2022 年          2021 年      本年比上年增减      2020 年

营业收入(元)    1,428,548,105.24    1,341,177,751.34          6.51%  989,538,493.39

归属于上市公司

股东的净利润        83,340,238.33      73,212,739.15          13.83%    62,374,430.92
(元)
归属于上市公司

股东的扣除非经      69,653,508.11      64,877,116.41          7.36%    53,559,731.50
常性损益的净利
润(元)
经营活动产生的

现金流量净额        127,414,475.68      16,274,663.82        682.90%    83,589,756.85
(元)

基本每股收益(元              0.63              0.61          3.28%            1.13
/股)

稀释每股收益(元              0.63              0.61          3.28%            1.13
/股)

加权平均净资产              9.22%          10.44%          -1.22%          14.25%
收益率

                    2022 年末        2021 年末      本年末比上年末    2020 年末
                                                          增减

资产总额(元)    1,412,851,326.07    1,309,262,797.04          7.91%  787,688,639.05

归属于上市公司

股东的净资产        937,837,282.40    873,005,593.14          7.43%  456,627,640.05
(元)

  二、资产及负债状况

                                                                        单位:元

                        2022 年末                  2022 年初

                      金额        占总资        金额        占总资产  比重增减
                                  产比例                      比例

 货币资金          239,907,621.81  16.98%      279,145,294.22    21.32%    -4.34%

 应收账款          250,477,110.87  17.73%      247,019,493.52    18.87%    -1.14%

 存货              328,869,408.37  23.28%      330,173,279.19    25.22%    -1.94%

 长期股权投资        32,383,540.89    2.29%        5,375,150.63    0.41%      1.88%

 固定资产          325,158,149.11  23.01%      195,969,206.12    14.97%      8.04%

 在建工程            17,224,832.41    1.22%      48,131,625.19    3.68%    -2.46%

 使用权资产          24,173,203.02    1.71%      27,660,849.06    2.11%    -0.40%

 短期借款          132,558,468.28    9.38%      101,200,504.83    7.73%      1.65%

 合同负债            7,763,808.76    0.55%        3,180,126.63    0.24%      0.31%

 租赁负债            13,636,138.28    0.97%      13,638,004.59    1.04%    -0.07%

 应付账款          205,967,747.13  14.58%      273,227,964.13    20.87%    -6.29%

  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            1,428,548,105.24        1,341,177,751.34                  6.51%

  营业成本            1,178,679,704.62        1,112,266,514.64                  5.97%

  销售费用                7,433,788.15            5,715,287.08                  30.07%

  管理费用                83,606,561.77          73,599,644.61                  13.60%

  财务费用                  925,050.19            5,451,584.61                -83.03%

  研发费用                61,268,370.30          60,945,513.71                  0.53%

  净利润                83,326,150.17          74,689,577.39                  11.56%

  四、2022 年度现金流分析

                                                                          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                  1,565,999,219.54    1,382,491,647.01      13.27%

经营活动现金流出小计                  1,438,584,743.86    1,366,216,983.19      5.30%

经营活动产生的现金流量净额              127,414,475.68      16,274,663.82    682.90%

投资活动现金流入小计                    114,030,674.72      98,762,722.53      15.46%

投资活动现金流出小计                  268,994,686.92      227,072,315.08      18.46%

投资活动产生的现金流量净额            -154,964,012.20      -128,309,592.55      20.77%

筹资活动现金流入小计                  165,163,728.84      558,481,042.07      -70.43%

筹资活动现金流出小计                  180,543,691.46      216,997,017.43      -16.80%

筹资活动产生的现金流量净额              -15,379,962.62      341,484,024.64    -104.50%

现金及现金等价物净增加额                -39,237,672.41      225,973,130.91    -117.36%

      经营现金流方面,公司开具银行承兑汇票业务,并将承接客户的银行承兑汇

  票适度贴现,释放现金流,导致当期经营活动产生的现金流量净额大幅增长。

      筹资活动现金流方面,主要系上期公司公开发行股票,募集资金入账所影响。
                                  天津津荣天宇精密机械股份有限公司董事会

                                                        2023 年 4 月 25 日

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