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义翘神州:2022年度财务决算报告

公告日期:2023-04-22

义翘神州:2022年度财务决算报告 PDF查看PDF原文

        北京义翘神州科技股份有限公司

            2022 年度财务决算报告

    北京义翘神州科技股份有限公司(以下简称“公司”)2022 年度财务报表
已经致同会计师事务所(特殊普通合伙)审计,出具了标准无保留意见的审计报告。现将公司 2022 年度财务决算情况报告如下:

    一、主要会计数据和财务指标

                                                          单位:元

                    2022 年        2021 年    本年比上年增      2020 年

                                                    减

营业收入          574,603,390.32  965,272,540.65      -40.47%  1,596,293,024.87

归属于上市公司  303,134,958.32  720,013,671.11      -57.90%  1,127,607,535.02
股东的净利润
归属于上市公司

股东的扣除非经  244,352,925.89  596,583,791.15      -59.04%  1,121,594,021.44
常性损益的净利


经营活动产生的  249,394,581.96  642,617,805.03      -61.19%  1,092,937,539.00
现金流量净额

基 本 每 股 收 益          2.6614        12.7061      -79.05%            22.11
(元/股)

稀 释 每 股 收 益              -              -            -                -
(元/股)

加权平均净资产          4.74%        22.25%      -17.51%          157.53%
收益率

                  2022 年末      2021 年末    本年末比上年    2020 年末

                                                  末增减

资产总额        6,570,390,331.09  6,890,235,257.55        -4.64%  1,465,027,156.89

归属于上市公司 6,369,382,867.09  6,752,312,588.01        -5.67%  1,298,643,517.67
股东的净资产

    二、2022 年主要财务状况

    1、主要资产及负债变动情况


                                                            单位:元

                  2022 年末                2022 年初          比重增  重大变
                金额      占总资      金额      占总资    减    动说明
                            产比例                  产比例

货币资金    2,379,661,988.27  36.22%  2,872,406,250.78  41.69%  -5.47%

交易性金融  3,422,367,143.67  52.09%  3,638,326,605.91  52.80%  -0.71%

资产

应收账款      140,385,288.86  2.14%  153,449,381.16  2.23%  -0.09%

合同资产

存货          47,485,676.13  0.72%    24,751,421.70    0.36%  0.36%

投资性房地

长期股权投


其他非流动  180,239,867.00  2.74%                            2.74%

金融资产

固定资产      139,058,327.77  2.12%    59,409,985.49    0.86%  1.26%

在建工程

使用权资产    71,904,084.26  1.09%    48,162,218.31    0.70%  0.39%

短期借款

合同负债      20,706,430.26  0.32%    13,810,327.69    0.20%  0.12%

长期借款

租赁负债      50,651,694.36  0.77%    26,903,545.65    0.39%  0.38%

    2、费用情况

                                                            单位:元

                    2022 年        2021 年        同比增减    重大变动说明

                                                                主要系公司扩
销售费用          123,925,012.41    81,455,777.64        52.14% 充销售团队、增
                                                                加广告投放所
                                                                致

                                                                主要系人工成
                                                                本增加、境内子
管理费用          83,367,028.62    60,028,968.26        38.88% 公司筹建期间
                                                                厂房租赁摊销、
                                                                折旧等增加所
                                                                致


                                                                主要系存款利
财务费用          -69,890,209.38    -3,784,275.76      -1746.86% 息收入增加所
                                                                致

                                                                主要系公司扩
研发费用          60,146,500.82    40,129,306.95        49.88% 充研发团队,增
                                                                加研发投入所
                                                                致

    3、现金流情况

                                                            单位:元

      项目              2022 年            2021 年          同比增减

经营活动现金流入小      714,482,112.74      1,139,953,606.29          -37.32%


经营活动现金流出小      465,087,530.78      497,335,801.26          -6.48%


经营活动产生的现金      249,394,581.96      642,617,805.03          -61.19%
流量净额

投资活动现金流入小    13,149,630,314.94      4,347,472,328.02          202.47%


投资活动现金流出小    13,213,776,578.48      6,896,540,406.95          91.60%


投资活动产生的现金      -64,146,263.54    -2,549,068,078.93          97.48%
流量净额

筹资活动现金流入小                  -      4,740,658,000.00                -


筹资活动现金流出小      704,270,912.83        28,296,262.30        2388.92%


筹资活动产生的现金      -704,270,912.83      4,712,361,737.70        -114.95%
流量净额

现金及现金等价物净      -513,889,111.46      2,806,832,311.11          -118.31%
增加额

    经营现金流量净额变动较大主要系公司非常规业务有所下滑所致。投资活动产生的现金流量变动较大主要系货币资金现金管理、购建固定资产等因素影响所致。公司筹资活动产生的现金流量变动较大主要系公司在报告期内分派现金股利、上一报告期收到上市募集资金影响所致。

                                  北京义翘神州科技股份有限公司董事会
                                                    2023 年 4 月 22 日
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