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首页 公告 聚灿光电:2022年年度财务决算报告

聚灿光电:2022年年度财务决算报告

公告日期:2023-02-28

聚灿光电:2022年年度财务决算报告 PDF查看PDF原文

          聚灿光电科技股份有限公司

            2022 年年度财务决算报告

  聚灿光电科技股份有限公司(以下简称“公司”)2022 年度财务报表已经容诚会计师事务所(特殊普通合伙)审计,并出具了容诚审字[2023]215Z0007 号标准无保留意见的审计报告。

  为了更全面、详细地了解公司 2022 年的财务状况和经营成果,现将 2022 年
度财务决算报告情况汇报如下:

    一、2022 年度主要财务数据

                                        单位:元(除特别注明外,以下单位相同)

          项目                2022 年度        2021 年度    本年比上年增减

 营业收入                    2,028,573,126.72  2,009,197,450.44          0.96%

 营业成本                    1,843,846,068.56  1,669,935,548.12          10.41%

 营业利润                      -77,797,225.23    191,522,296.17        -140.62%

 净利润                        -63,402,527.19    177,076,598.51        -135.81%

 扣除非经常性损益后净利润      -183,426,272.24      41,356,911.09        -543.52%

 经营活动产生的现金流量净额    488,231,153.07    465,398,314.38          4.91%

 期末总股本                    544,689,246.00    543,631,746.00          0.19%

 资产总额                    3,638,735,004.37  3,007,842,513.95          20.97%

 负债总额                    2,025,164,070.30  1,355,782,511.59          49.37%

 所有者权益合计              1,613,570,934.07  1,652,060,002.36          -2.33%

    二、2022 年主要财务指标

          项目                2022 年度        2021 年度    本年比上年增减

 基本每股收益(元/股)                  -0.12            0.34            -0.46

 平均净资产收益率(%)                -3.88%          14.65%        -18.53%

 每股经营活动产生的现金流量              0.90            0.86            0.04
 净额(元/股)

 每股净资产(元/股)                    2.96            3.04            -0.08

 流动比率                                1.09            1.53            -0.44

 速动比率                                0.94            1.33            -0.39

 资产负债率                          55.66%          45.07%          10.59%

 应收账款周转率                          4.81            4.97            -0.16

 存货周转率                              7.31            8.46            -1.15

 总资产周转率                            0.61            0.71            -0.10

    三、2022 年公司财务状况

  1、资产构成状况

      项目      2022 年 12 月 31 日  2021 年 12 月 31 日      增减额      变动
                                                                        幅度

 货币资金          1,020,512,958.30      443,303,928.07  577,209,030.23  130.21%

 应收票据            214,409,747.68      182,990,878.36    31,418,869.32  17.17%

 应收账款            421,238,021.64      421,799,434.52      -561,412.88  -0.13%

 应收款项融资        130,870,193.82      124,339,146.75    6,531,047.07    5.25%

 预付款项              5,687,365.38      19,051,965.51  -13,364,600.13  -70.15%

 其他应收款            937,518.60        246,274.58      691,244.02  280.68%

 存货                292,437,949.56      212,347,840.02    80,090,109.54  37.72%

 其他流动资产        25,818,787.76      268,252,723.80  -242,433,936.04  -90.38%

 流动资产合计      2,111,912,542.74    1,672,332,191.61  439,580,351.13  26.29%

 投资性房地产        74,950,561.35      77,278,876.83    -2,328,315.48  -3.01%

 固定资产          1,183,579,630.33    1,063,126,418.72  120,453,211.61  11.33%

 在建工程            185,722,334.48      58,709,141.53  127,013,192.95  216.34%

 使用权资产            2,190,003.37        3,474,186.26    -1,284,182.89  -36.96%

 无形资产            24,797,628.67      24,072,719.63      724,909.04    3.01%

 长期待摊费用          145,952.13        248,977.17      -103,025.04  -41.38%

 递延所得税资产      54,061,951.30      37,743,467.69    16,318,483.61  43.24%

 其他非流动资产        1,374,400.00      70,856,534.51  -69,482,134.51  -98.06%

 非流动资产合计    1,526,822,461.63    1,335,510,322.34  191,312,139.29  14.33%

 资产总计          3,638,735,004.37    3,007,842,513.95  630,892,490.42  20.97%

超过 30%增减变动的说明:

(1)货币资金 2022 年末比去年末增长 130.21%,主要系本期借款规模增加,筹资活动现金净流入增加所致。
(2)预付账款 2022 年末比去年末下降 70.15%,主要系本期材料采购预付款减少所致。
(3)其他应收款 2022 年末比去年末大幅增长,主要系本期购买大额存单产生垫支利息所致。
(4)存货 2022 年末比去年末增长 37.72%,主要系本期原材料及库存商品增加所致。
(5)其他流动资产 2022 年末比去年末下降 90.38%,主要系本期收到增值税留抵退税所致。
(6)在建工程 2022 年末比去年末增长 216.34%,主要系本期募投项目工程投入增加所致。
(7)使用权资产 2022 年末比去年末下降 36.96%,主要系本期计提折旧所致。(8)长期待摊费用 2022 年末比去年末下降 41.38%,主要系本期待摊销的费用减少所致。
(9)递延所得税资产 2022 年末比去年末增长 43.24%,主要系本期未弥补亏损增加导致可抵扣暂时性差异较大所致。
(10)其他非流动资产 2022 年末比去年末下降 98.06%,主要系上期预付款设备本期已到货验收所致。

  2、负债构成情况

    项目      2022 年 12 月 31 日  2021 年 12 月 31      增减额      变动幅度
                                        日

 短期借款          609,150,000.00    91,352,316.55  517,797,683.45    566.81%

 应付票据          837,648,460.79    681,396,026.84  156,252,433.95    22.93%

 应付账款          387,000,716.51    254,146,607.35  132,854,109.16    52.27%

 合同负债            1,983,813.39      1,254,713.39      729,100.00    58.11%

 应付职工薪酬        19,079,332.53    16,449,513.95    2,629,818.58    15.99%

 应交税费            2,890,626.42      5,069,889.69    -2,179,263.27    -42.98%

 其他应付款          2,758,578.90      2,575,844.13      182,734.77      7.09%
 一年内到期

 的非流动负          2,559,767.34    41,961,190.82  -39,401,423.48    -93.90%
 债

 其他流动负          78,439,264.83        163,112.74    78,276,152.09  47,988.99%
 债

 流动负债合计    1,941,510,560.71  1,094,369,215.46  847,141,345.25    77.41%

 长期借款            14,789,224.64    190,522,763.50  -175,733,538.86    -92.
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