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首页 公告 易点天下:2022年度财务决算报告

易点天下:2022年度财务决算报告

公告日期:2023-04-28

易点天下:2022年度财务决算报告 PDF查看PDF原文

          易点天下网络科技股份有限公司

              2022 年度财务决算报告

  2022 年度,在易点天下网络科技股份有限公司(以下简称“公司”)公司管理层的正确领导和全体员工的共同努力下,公司继续优化战略布局,不断深耕移动互联网营销业务,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      2020 年

                                                                增减

  营业收入(元)        2,305,628,458.44  3,424,932,425.50    -32.68%  2,478,400,628.97

  归属于上市公司股        262,120,850.32    258,544,930.25      1.38%    234,706,492.73

  东的净利润(元)

  归属于上市公司股

  东的扣除非经常性        229,114,707.04    250,599,714.61      -8.57%    218,071,646.02

  损益的净利润(元)

  经营活动产生的现      -199,633,900.95    178,168,961.40    -212.05%    302,467,749.19

  金流量净额(元)

  基本每股收益(元/                  0.62              0.65      -4.62%              0.59

  股)

  稀释每股收益(元/                  0.62              0.65      -4.62%              0.59

  股)

  加权平均净资产收                11.71%            16.52%      -4.81%            17.56%

  益率

                          2022 年末          2021 年末      本年末比上      2020 年末

                                                              年末增减

  资产总额(元)        4,964,018,591.38  4,040,266,669.19      22.86%  2,761,331,891.89

  归属于上市公司股      3,184,344,907.07  1,692,116,425.67      88.19%  1,437,972,401.30

  东的净资产(元)

  二、2022 年末主要资产负债情况

                                                            单位:元

                        2022 年末                  2022 年初          比重增  重大变动说
                      金额        占总资        金额        占总资    减        明

                                    产比例                      产比例

                                                                                  主 要 原 因 是
                                                                                  报 告 期 内 公
  货币资金      1,836,544,554.07  37.00%  1,235,719,546.63  30.59%    6.41%  司 公 开 发 行
                                                                                  股 票 收 到 募
                                                                                  集资金、归还
                                                                                  贷款、经营活


                                                                                动 产 生 流 出
                                                                                综 合 影 响 所
                                                                                致。

应收账款        791,041,250.70  15.94%  1,022,939,483.70  25.32%  -9.38%

                                                                                主 要 原 因 是
                                                                                报 告 期 内 新
                                                                                增 投 资 以 及
长期股权投资    106,558,305.79    2.15%    63,713,517.48    1.58%    0.57%  联 营 企 业 确
                                                                                认 投 资 收 益
                                                                                综 合 影 响 所
                                                                                致。

固定资产          13,249,780.11    0.27%    14,474,202.75    0.36%  -0.09%

使用权资产        94,722,485.50    1.91%    108,904,359.13    2.70%  -0.79%

                                                                                主 要 原 因 是
短期借款          50,061,111.14    1.01%    149,514,000.00    3.70%  -2.69%  报 告 期 内 归
                                                                                还 贷 款 影 响
                                                                                所致。

                                                                                主 要 原 因 是
合同负债          81,331,211.00    1.64%    50,999,502.65    1.26%    0.38%  报 告 期 内 客
                                                                                户 预 收 款 增
                                                                                加影响所致。

租赁负债          99,754,547.69    2.01%    112,244,132.82    2.78%  -0.77%

                                                                                主 要 原 因 是
交易性金融资    322,164,222.22    6.49%                      0.00%    6.49%  报 告 期 内 新
产                                                                              增 结 构 性 存
                                                                                款所致。

                                                                                主 要 原 因 是
预付款项          27,348,785.43    0.55%    41,439,645.52    1.03%  -0.48%  报 告 期 内 预
                                                                                付 采 购 款 减
                                                                                少影响所致。

其他应收款    1,642,274,128.87  33.08%  1,447,025,108.43  35.82%  -2.74%

                                                                                主 要 原 因 是
                                                                                报 告 期 内
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