联系客服

301179 深市 泽宇智能


首页 公告 泽宇智能:2022年度财务决算报告

泽宇智能:2022年度财务决算报告

公告日期:2023-03-08

泽宇智能:2022年度财务决算报告 PDF查看PDF原文

            江苏泽宇智能电力股份有限公司

                2022 年度财务决算报告

    江苏泽宇智能电力股份有限公司(以下简称“公司”或“泽宇智能”)2022 年度
财务报表已经中汇会计师事务所(特殊普通合伙)审计,并出具了中汇会审[2023]0550号标准无保留意见的审计报告。会计师的审计意见是:公司财务报表在所有重大方面按
照企业会计准则的规定编制,公允反映了泽宇智能 2022 年 12 月 31 日的合并及母公司
财务状况,以及 2022 年度的合并及母公司的经营成果和现金流量。

    2022 年度主要财务指标情况如下:

    一、2022 年主要财务数据及指标

                项 目                    本期        上期    同比增减

        基本每股收益(元/股)            1.72        1.88      -8.51%

        稀释每股收益(元/股)            1.72        1.88      -8.51%

 扣除非经常性损益后的基本每股收益(元/股)  1.42        1.72      -17.44%

          加权平均净资产收益率            10.90%      32.33%    -21.43%

 扣除非经常性损益后的加权平均净资产收益    9.04%      29.63%    -20.59%
                  率

  归属于上市公司普通股股东的每股净资产    16.54        15.18      8.96%
                (元/股)

 每股经营活动产生的现金流量净额(元/股)    0.94        1.22      -22.95%

        资产负债率 (合并报表)            23.6%      24.18%      -0.58%

    二、2022 年度经营状况

                                                                          单位:万元

        项  目              本期发生额        上期发生额      同比增减

        营业收入            86,343.63          70,335.00        22.76%

        营业成本            50,176.03          40,305.23        24.49%

      税金及附加              598.46            489.14        22.35%

        销售费用              3,425.96          3,255.23        5.24%


        管理费用              4,237.09          3,206.24      32.15%

        研发费用              3,296.36          2,443.43      34.91%

        财务费用              -759.65            -321.49        -136.29%

      信用减值损失            -620.37            -508.41        22.02%

      资产减值损失              4.37              -28.21        -115.48%

        其他收益              86.50              43.35          99.55%

        投资收益              3,897.71            830.18        369.50%

    公允价值变动收益          1,171.29            974.03        20.25%

      资产处置收益            -0.58              6.19        -109.44%

      营业利润            29,908.30          22,274.35        34.27%

      营业外收入              0.23              0.0001      230056.12%

      营业外支出              10.09              11.62        -13.20%

      利润总额            29,898.44          22,262.73        34.30%

      所得税费用            7,250.44          3,665.80        97.79%

        净利润              22,648.00          18,596.93        21.78%

 归属于母公司所有者的净      22,666.05          18,597.04        21.88%

          利润

 归属于母公司所有者的扣      18,806.10          17,040.64        10.36%

 除非经常性损益的净利润

    2022 年变动超过 30%的科目原因分析:

    管理费用,本期数 4,237.09 万元,比上期 3,206.24 万元,增加 32.15%,主要系本
期对核心员工进行二类限制性股票激励,依据相关规则计提的股份支付费用增加所致。
    研发费用,本期数 3,296.36 万元,比上期 2,443.43 万元,增加 34.91%,主要系本
期直接投入费用增加所致。

    财务费用,本期数-759.65 万元,比上期-321.49 万元,下降 136.29%,主要系本
期利息收入增加所致。

    其他收益,本期数 86.50 万元,比上期 43.35 万元,增加 99.55%,主要系本期收
到的政府补助增加所致。


    投资收益,本期数 3,897.71 万元,比上期 830.18 万元,增加 369.50%,主要系本
期利用自有资金及暂时闲置的募集资金进行现金管理增加理财收益所致。

    资产减值损失,本期数 4.37 万元,比上期-28.21 万元,减少 115.48%,主要系本
期合同资产计提的准备金减少所致。

    所得税费用,本期数 7,250.44 万元,比上期 3,665.80 万元,增长 97.79%,主要

系本期应纳税所得额增加及泽宇智能所得税率提高所致。

    三、2022 年末财务状况

                                                                      单位:万元

                          期末余额                上期余额

      项目                      占总资产                占总资产  同比增减
                        金额      /负债及      金额      /负债及

                                  所有者权                所有者权

                                  益比重                  益比重

    流动资产:

    货币资金      105,252.30  36.76%    5,414.70    2.05%  1843.82%

  交易性金融资产    107,454.13  37.53%    192,664.44    72.89%  -44.23%

    应收票据        177.77      0.06%    1,158.51    0.44%    -84.65%

    应收账款        9,242.76    3.23%    4,598.45    1.74%    101.00%

  应收款项融资      2,438.96    0.85%    1,710.70    0.65%    42.57%

    预付款项        3,586.25    1.25%    2,927.70    1.11%    22.49%

    其他应收款        428.85      0.15%      448.46      0.17%    -4.37%

      存货          44,556.78    15.56%    44,376.61    16.79%    0.41%

    合同资产        663.80      0.23%    1,017.77    0.39%    -34.78%

  其他流动资产        34.81      0.01%      863.41      0.33%    -95.97%

  流动资产合计    273,836.41  95.65%    255,180.76    96.54%    7.31%

  非流动资产:

    固定资产        2,090.14    0.73%    2,084.44    0.79%    0.27%

    在建工程        7,792.00    2.72%    5,030.95    1.90%    54.88%

    使用权资产        119.17      0.04%      0.00


    无形资产        1,814.05    0.63%    1,822.38    0.69%    -0.46%

  递延所得税资产      359.76      0.13%      210.05      0.08%    71.27%

  其他非流动资产      274.01      0.10%

  非流动资产合计    12,449.12    4.35%    9,147.83    3.46%    36.09%

    资产总计      286,285.53  100.00%  264,328.59  100.00%    8.31%

    流动负债:

    短期借款        8,007.56    2.80%

    应付票据        8,062.54    2.82%    9,502.44    3.59%    -15.15%

    应付账款        11,486.44    4.01%    5,797.01    2.19%    98.14%

    合同负债        31,639.83    11.05%    43,975.65    16.64%  -28.05%

  应付职工薪酬      1,114.88    0.39%    1,052.16    0.40%    5.96%

    应交税费        6,670.60    2.33%    2,833.1
[点击查看PDF原文]