【世界时快讯】恒铭达: 2022年度财务决算报告
2023-03-15 23:21:08 证券之星

证券代码:002947            证券简称:恒铭达                        公告编号:2023-031

                    苏州恒铭达电子科技股份有限公司

    本公司及董事会全体成员保证公告内容的真实、准确和完整,没有虚假记载、误导性陈述或


(资料图片)

 者重大遗漏。

  苏州恒铭达电子科技股份有限公司(以下简称“公司”)2022 年 12 月 31 日母公司及合并的资产

负债表、2022 年度母公司及合并的利润表、2022 年度母公司及合并的现金流量表、2022 年度母公司

及合并的所有者权益变动表及相关报表附注已经天健会计师事务所(特殊普通合伙)审计,并出具标

准无保留意见的审计报告。

一、主要财务数据和指标

变幻的市场形势,公司积极推进业务优化,强化公司核心产品的技术能力,不断提升产品品质和服务

水平,向高端产业链延伸。同时拓展通信、新能源等领域的新业务,在过去一年营业收入及净利润保

持了良好的增长态势。

  公司于报告期内实现营业总收入 154,775.92 万元,同比增长 36.95%;实现营业利润 23,227.25

万元,同比增长 426.43%;实现利润总额 22,966.19 万元,同比增长 429.97%;实现归属于上市公司股

东的净利润 19,303.29 万元,同比增长 517.43%;实现基本每股收益 0.84 元,同比增长 500.00%;加

权平均净资产收益率较同期增长 8.72%。

  报告期内,公司经营稳健,财务状况良好。公司实现总资产 249,019.07 万元,同比增长 13.44%;

实现归属于上市公司股东的所有者权益 185,343.58 万元,同比增长 8.35%。

  主要会计数据和财务指标如下:

营业收入(元)                     1,547,759171.87     1,130,169,487.23      36.95%

归属于上市公司股东的净利润(元)             193,032,929.60        31,264,033.24     517.43%

归属于上市公司股东的扣除非经常性损益

的净利润(元)

经营活动产生的现金流量净额(元)             102,582,189.12      -44,800,538.43      328.98%

基本每股收益(元/股)                            0.84                0.14      500.00%

稀释每股收益(元/股)                               0.84                       0.14          500.00%

加权平均净资产收益率                            10.91%                        2.19%            8.72%

总资产(元)                      2,490,190,674.68           2,195,187,015.16             13.44%

归属于上市公司股东的净资产(元)            1,853,435,821.40           1,710,608,949.66              8.35%

二、资产构成情况分析

          项目           2022 年 12 月 31 日          2021 年 12 月 31 日           变化比例

流动资产:

  货币资金                    311,316,789.16              385,651,378.06               -19.28%

  交易性金融资产                 261,182,124.65                25,000,000.00              944.73%

  应收票据                     14,686,553.03                9,636,446.16               52.41%

  应收账款                    727,307,461.57              591,475,038.38               22.97%

  应收款项融资                    6,813,651.75                3,033,006.25               124.65%

  预付款项                      2,853,846.18                3,439,288.59               -17.02%

  其他应收款                     8,509,299.49                9,626,611.03               -11.61%

  存货                      288,370,661.30              207,487,137.63               38.98%

  其他流动资产                  285,522,741.84              496,881,011.87               -42.54%

流动资产合计                  1,906,563,128.97             1,732,229,917.97              10.06%

非流动资产:

  固定资产                    276,539,988.17              234,830,074.62               17.76%

  在建工程                     63,281,532.72                31,967,010.47              97.96%

  使用权资产                    68,407,597.44                15,738,463.32              334.65%

  无形资产                     71,772,028.11                73,014,660.08               -1.70%

  商誉                       73,613,173.23                74,061,739.50               -0.61%

  长期待摊费用                    9,479,130.98                12,823,930.30              -26.08%

  递延所得税资产                  13,461,919.28                8,918,022.43               50.95%

  其他非流动资产                   7,072,175.78                11,603,196.47              -39.05%

非流动资产合计                   583,627,545.71              462,957,097.19               26.07%

资产总计                    2,490,190,674.68             2,195,187,015.16              13.44%

增长 10.06%,非流动资产较期初余额增长 26.07%,各项目增减变动主要原因如下:

  性金融资产核算所致;

三、负债及所有者权益构成情况分析

         项目             2022 年 12 月 31 日         2022 年 12 月 31 日           变化比例

流动负债:

  短期借款                                                       3,149,100.00      -100.00%

  应付票据                           28,899,084.66              36,912,918.25       -21.71%

  应付账款                         389,088,268.74              357,995,385.25           8.69%

  合同负债                             119,537.62                  594,191.84       -79.88%

  应付职工薪酬                         71,556,025.60              31,883,532.78      124.43%

  应交税费                           20,436,644.08              21,386,758.68          -4.44%

  其他应付款                          26,145,852.37               2,990,788.11      774.21%

  一年内到期的非流动负债                    18,872,156.80               9,910,815.01          90.42%

  其他流动负债                             3,746.93                   21,582.43       -82.64%

流动负债合计                         555,121,316.80              464,845,072.35          19.42%

非流动负债:

  租赁负债                           51,058,872.17               5,803,162.33      779.85%

  递延收益                           1,731,588.60                1,791,254.34          -3.33%

  递延所得税负债                        17,115,208.36

非流动负债合计                          69,905,669.13               7,594,416.67      820.49%

负债合计                           625,026,985.93              472,439,489.02          32.30%

所有者权益:

  股本                           230,171,765.00              176,130,503.00          30.68%

  资本公积                        1,056,482,712.13           1,104,884,912.97          -4.38%

  减:库存股                          20,793,150.00

  其他综合收益                          -208,946.78                  -86,395.48      141.85%

  专项储备                             239,115.28

  盈余公积                           57,014,361.71              39,442,790.75          44.55%

  未分配利润                        530,529,964.06              390,237,138.42          35.95%

归属于母公司所有者权益合计                 1,853,435,821.40           1,710,608,949.66           8.35%

  少数股东权益                         11,727,867.35              12,138,576.48          -3.38%

所有者权益合计                       1,865,163,688.75           1,722,747,526.14           8.27%

负债和所有者权益总计                    2,490,190,674.68           2,195,187,015.16          13.44%

元,较期初余额增加 8.27%。各项目增减变动主要原因如下:

     励所致;

四、利润表分析

             项目         2022 年度            2021 年度             变化比例

一、营业总收入                 1,547,759,171.87    1,130,169,487.23      36.95%

  其中:营业收入               1,547,759,171.87    1,130,169,487.23      36.95%

二、营业总成本                 1,286,433,830.39    1,074,668,390.41      19.71%

  其中:营业成本               1,067,767,294.32      827,332,342.95      29.06%

     税金及附加                  8,258,304.10        5,763,101.25      43.30%

     销售费用                  45,462,183.67       31,031,879.62      46.50%

     管理费用                126,826,756.23       148,527,877.10     -14.61%

     研发费用                  71,189,077.62       55,143,356.29      29.10%

     财务费用                 -33,069,785.55        6,869,833.20    -581.38%

  加:其他收益                    3,344,288.61        3,449,944.97      -3.06%

    投资收益(损失以“-”号填列)        16,434,936.62       17,078,741.90      -3.77%

  公允价值变动收益(损失以“-”号填列)         -15,445.20

    信用减值损失(损失以“-”号填列)     -13,141,139.66      -15,444,272.39     -14.91%

    资产减值损失(损失以“-”号填列)     -41,772,859.62      -16,924,814.02     146.81%

    资产处置收益(损失以“-”号填列)       6,097,405.34          461,866.32    1220.17%

三、营业利润(亏损以“-”号填列)        232,272,527.57        44,122,563.60     426.43%

  加:营业外收入                       1,423.31           59,821.37     -97.62%

  减:营业外支出                   2,612,065.26          847,105.35     208.35%

四、利润总额(亏损总额以“-”号填列)      229,661,885.62        43,335,279.62     429.97%

  减:所得税费用                  37,039,665.15       13,509,178.53     174.18%

五、净利润(净亏损以“-”号填列)        192,622,220.47        29,826,101.09     545.82%

六、其他综合收益的税后净额                    -122,551.30                       -86,395.48         41.85%

 归属母公司所有者的其他综合收益的税后净额            -122,551.30                       -86,395.48         41.85%

七、综合收益总额                      192,499,669.17                    29,739,705.61        547.28%

  归属于母公司所有者的综合收益总额            192,910,378.30                    31,177,637.76        518.75%

  归属于少数股东的综合收益总额                 -410,709.13                    -1,437,932.15        -71.44%

原因如下:

五、现金流量表分析

                项目                         2022 年度                  2021 年度          变化比例

一、经营活动产生的现金流量:

  销售商品、提供劳务收到的现金                           1,462,002,760.55         939,178,660.23      55.67%

  收到的税费返还                                       67,403,941.77        43,792,537.79      53.92%

  收到其他与经营活动有关的现金                                13,194,005.15         7,690,912.87      71.55%

经营活动现金流入小计                                 1,542,600,707.47         990,662,110.89      55.71%

  购买商品、接受劳务支付的现金                           1,125,198,585.97         779,018,375.03      44.44%

  支付给职工以及为职工支付的现金                              233,209,029.35       195,591,474.52      19.23%

  支付的各项税费                                       48,284,427.62        28,150,215.83      71.52%

  支付其他与经营活动有关的现金                                33,326,475.41        32,702,583.94      1.91%

经营活动现金流出小计                                 1,440,018,518.35       1,035,462,649.32      39.07%

经营活动产生的现金流量净额                                  102,582,189.12       -44,800,538.43    -328.98%

二、投资活动产生的现金流量:

  取得投资收益收到的现金                                   16,434,936.62        17,078,741.90      -3.77%

  处置固定资产、无形资产和其他长期资产收回的现金净额                        914,584.88           735,690.03      24.32%

  收到其他与投资活动有关的现金                           2,196,000,000.00       3,027,000,000.00     -27.45%

投资活动现金流入小计                       2,213,349,521.50   3,044,814,431.93   -27.31%

  购建固定资产、无形资产和其他长期资产支付的现金         112,276,191.31     181,093,121.70    -38.00%

  取得子公司及其他营业单位支付的现金净额                                  16,707,578.18

  支付其他与投资活动有关的现金                 2,230,000,000.00   2,928,000,000.00   -23.84%

投资活动现金流出小计                       2,342,276,191.31   3,125,800,699.88   -25.07%

投资活动产生的现金流量净额                    -128,926,669.81      -80,986,267.95    59.20%

三、筹资活动产生的现金流量:

  吸收投资收到的现金                         22,586,612.73    346,099,993.50    -93.47%

  取得借款收到的现金                                            14,796,600.00

筹资活动现金流入小计                          22,586,612.73    360,896,593.50    -93.74%

  偿还债务支付的现金                          3,149,100.00      11,647,500.00   -72.96%

  分配股利、利润或偿付利息支付的现金                 35,272,226.18      36,634,539.40    -3.72%

  支付其他与筹资活动有关的现金                    41,877,532.68    123,105,921.58    -65.98%

筹资活动现金流出小计                          80,298,858.86    171,387,960.98    -53.15%

筹资活动产生的现金流量净额                      -57,712,246.13    189,508,632.52    -130.45%

四、汇率变动对现金及现金等价物的影响                  11,721,233.82      -5,724,366.42   -304.76%

五、现金及现金等价物净增加额                     -72,335,493.00      57,997,459.72   -224.72%

  加:期初现金及现金等价物余额                  383,652,282.16     325,654,822.44     17.81%

六、期末现金及现金等价物余额                    311,316,789.16     383,652,282.16    -18.85%

应收款项到期收回所致;

普通股所致。

                                    苏州恒铭达电子科技股份有限公司

                                                     董事会

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