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首页 公告 聆达股份:2022年度财务决算报告

聆达股份:2022年度财务决算报告

公告日期:2023-03-21

聆达股份:2022年度财务决算报告 PDF查看PDF原文

                聆达集团股份有限公司

                2022 年度财务决算报告

聆达集团股份有限公司全体股东:

    2022年度,太阳能电池业务成为主要的业务增长点,公司收入水平较上年同期大幅提升,实现营业收入159,755.18万元,同比增加47.94%。受公司产能及光伏产业链下游组件价格的影响,太阳能电池业务的收入增加,经营业绩上升,营业利润-1,021.26万元,同比减亏88.68%。归属于上市公司股东的净利润-1,692.80万元,同比减亏76.17%。归属于上市公司股东的扣除非经常性损益的净利润-1,946.99万元,同比减亏79.71%。

    现将公司2022年度财务决算情况报告如下:

    一、  2022 年度经营成果

  报告期内,利润表相关项目变动情况如下表所示:

                                                                        单位:元

            项目                  2022 年          2021 年      同比变动幅度

营业收入                          1,597,551,813.25  1,079,871,084.11        47.94%

营业成本                          1,403,956,602.40  1,048,778,741.71        33.87%

税金及附加                          3,564,646.14      3,557,382.59        0.20%

销售费用                            7,029,425.21      7,562,699.45        -7.05%

管理费用                            58,636,009.88    45,136,883.04        29.91%

研发费用                            56,960,715.54    44,172,991.13        28.95%

财务费用                            42,358,180.35    42,435,623.93        -0.18%

其他收益                            7,683,603.02    30,783,306.65        -75.04%

投资收益                            -2,344,804.82      6,122,337.02      -138.30%

公允价值变动收益                            0.00        72,177.89      -100.00%

信用减值损失                        -22,478,596.49      -9,026,081.30      149.04%

资产减值损失                        -17,736,297.38      -6,399,121.58      177.17%

资产处置收益                          -382,782.22        15,917.73    -2,504.75%

营业利润                            -10,212,644.16    -90,204,701.33        88.68%

营业外收入                            141,488.37        42,346.77      234.12%

营业外支出                          4,685,343.11        618,777.15      657.19%

            项目                  2022 年          2021 年      同比变动幅度

利润总额                            -14,756,498.90    -90,781,131.71        83.74%

所得税费用                          2,171,468.56    -16,527,906.46      113.14%

净利润                              -16,927,967.46    -74,253,225.25        77.20%

归属于上市公司股东的净利润          -16,927,967.46    -71,029,407.64        76.17%

归属于上市公司股东的扣除非经      -19,469,906.57    -95,944,853.14        79.71%
常性损益的净利润

  报告期内,归属于上市公司股东的净利润为-1,692.80 万元,较上年同期减亏5,410.14 万元,同比减亏 76.17%。

  1、营业收入较上年同期增加 47.94%,营业成本较上年同期增加 33.87%,主要系报告期太阳能电池业务产销量增加所致;

  营业收入涨幅大于营业成本涨幅,主要原因有:

  太阳能电池片价格上升超过硅片价格上升,致使毛利率升高;

  报告期内完成太阳能电池片产线升降改造,由原 166mm 电池片生产线全部改
造为 182mm 电池片生产线,182mm 电池片的毛利率高于 166mm 电池片,致使毛
利率升高;

  电池片产量较上年大幅上升,产能利用率提高,单位产品固定成本下降,导致毛利率上升。

  2、管理费用较上年同期增加 29.91%,主要系报告期支付职工薪酬增加所致。
  3、研发费用较上年同期增加 28.95%,主要系报告期加大对太阳能电池业务的研发投入所致。

  4、其他收益较上年同期减少 75.04%,主要系报告期收到的政府补助减少所致。
  5、投资收益较上年同期减少 138.30%,主要系上年同期转让子公司股权取得投资收益所致。

  6、信用减值损失较上年同期增加 149.04%,主要系报告期计提其他应收款信用减值损失所致。

  7、资产减值损失较上年同期增加 177.17%,主要系报告期计提存货跌价增加所致。

  8、营业外支出较上年同期增加 657.19%,主要系报告期因太阳能电池业务计提合同违约金所致。


  9、所得税费用较上年同期增加 113.14%,主要系上年同期可抵扣亏损计提递延所得税资产所致。

  2022 年末财务状况

  报告期末,资产负债表相关项目变动情况如下表所示:

                                                                      单位:元

            项目                  2022 年            2021 年      同比变动幅度

货币资金                          111,410,636.31      103,879,616.64        7.25%

应收票据                          209,175,507.22      241,809,391.31      -13.50%

应收账款                          188,654,316.11      180,595,041.35        4.46%

应收款项融资                      12,444,287.78        5,299,343.78      134.83%

预付款项                          21,226,084.19      110,544,607.54      -80.80%

其他应收款                          8,525,378.31      41,956,037.93      -79.68%

存货                              53,334,632.86      46,718,213.02        14.16%

其他流动资产                        1,391,328.88      36,888,237.85      -96.23%

流动资产合计                      606,162,171.66      767,690,489.42      -21.04%

长期股权投资                        5,503,665.79        5,962,753.43        -7.70%

固定资产                        1,216,976,497.24    1,193,830,848.17        1.94%

在建工程                          153,979,637.05      171,349,591.16      -10.14%

使用权资产                          3,343,554.00        3,141,079.00        6.45%

无形资产                          71,645,144.83      77,420,836.43        -7.46%

商誉                                  920,299.19        920,299.19        0.00%

长期待摊费用                        6,898,806.68        7,357,600.80        -6.24%

递延所得税资产                    15,119,161.76      15,527,670.48        -2.63%

其他非流动资产                    54,888,526.72      59,009,406.55        -6.98%

非流动资产合计                  1,529,275,293.26    1,534,520,085.21        -0.34%

资产总计                        2,135,437,464.92    2,302,210,574.63        -7.24%

短期借款                          45,070,708.33      90,135,027.78      -50.00%

应付票据                          35,390,816.00      38,207,946.21        -7.37%

应付账款                          197,394,641.72      194,742,490.23        1.36%

合同负债                            9,012,273.33        8,358,973.50        7.82%

应付职工薪酬              
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