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首页 公告 双飞股份:2022年度财务决算报告

双飞股份:2022年度财务决算报告

公告日期:2023-04-20

双飞股份:2022年度财务决算报告 PDF查看PDF原文

                浙江双飞无油轴承股份有限公司

                    2022年度财务决算报告

    浙江双飞无油轴承股份有限公司(以下简称公司)按照会计准则编制2022年度财务报表,在所有重大方面公允反映了公司2022年底的财务状况及2022年经营成果和现金流量。经天健会计师事务所(特殊普通合伙)审计,并出具了标准无保留见的审计报告。

    (一)主要财务数据:

                                                                  单位:人民币元

        项 目                2022 年              2021 年          同比增幅

营业收入                            716,183,507.72        908,425,867.25            -21.16%

利润总额                            65,257,978.01        116,560,777.55            -44.01%

净利润                              61,017,936.55        103,456,387.25            -41.02%

归属于上市公司股东的净利润          61,474,283.54        100,315,576.26            -38.72%

归属于上市公司股东的扣除非          57,349,028.36        91,290,917.57            -37.18%
经常性损益的净利润

基本每股收益(元/股)                        0.42                  0.69            -39.13%

    (二)公司财务状况:

    1、资产购成状况:

                                                                    单位:人民币元

        项 目                期末数            上年年末数          同比增幅

货币资金                            196,292,378.37        184,607,212.93              6.33%

交易性金融资产                          20,717.87          30,000,000.00            -99.93%

应收票据                            15,147,106.79          54,246,005.56            -72.08%

应收账款                            189,874,640.50        194,110,844.45              -2.18%

应收款项融资                        48,042,883.56          58,413,705.97            -17.75%

预付款项                              1,015,832.24            756,730.49              34.24%

其他应收款                            2,081,354.08            792,677.44            162.57%

存货                                139,036,199.71        134,374,866.06              3.47%

其他流动资产                          8,692,559.30            982,519.77            784.72%

流动资产合计                        600,203,672.42        658,284,562.67              -8.82%

投资性房地产                            77,877.99          7,532,534.97            -98.97%

固定资产                            408,998,762.95        354,353,133.32              15.42%

在建工程                            102,771,913.75          46,234,504.96            122.28%

使用权资产                          13,862,903.99                                    100.00%

无形资产                            75,609,696.36          71,540,806.30              5.69%

商誉                                41,075,624.00          46,814,936.02            -12.26%

长期待摊费用                        5,840,477.90                                    100.00%

递延所得税资产                  6,918,293.27        7,354,448.35          -5.93%

其他非流动资产                      12,946,745.81          29,044,610.01            -55.42%

非流动资产合计                      668,102,296.02        562,874,973.93              18.69%

资产总计                          1,268,305,968.44      1,221,159,536.60              3.86%

    主要变动情况说明:

    1)交易性金融资产减少2,997.93万元,降幅99.93%主要系理财产品到期赎回减少所致。
    2)应收票据减少3,909.89万元,降幅72.08%,主要系以商业承兑汇票结算货款减少所致。
    3)预付款项增加25.91万元,增幅34.24%,主要系预付材料款增加所致。

    4)其他应收款增加128.87万元,增幅162.57%,主要系应收暂付款增加所致

    5)其他流动资产增加771.00万元,增幅784.72%,主要系增值税留抵税额增加所致。

    6)投资性房地产减少745.47万元,降幅98.97%,主要系将出租厂房收回自用所致。

    7)在建工程增加5,653.74万元,增幅122.28%,主要系在建厂房增加所致。

    8)使用权资产增加1,386.29万元,增幅100%,主要系子公司租赁厂房增加所致。

    9)长期待摊费用增加584.05万元,增幅100%,主要系厂房装修及子公司待摊低价值设备
      增加所致。

    10)其他非流动资产减少1,609.79万元,降幅55.42%,主要系预付设备款减少所致。

      2、负债构成情况:

                                                                    单位:人民币元

        项 目                期末数            上年年末数          同比增减

短期借款                            85,090,430.55          80,090,583.34              6.24%

交易性金融负债                          105,190.08                                    100.00%

应付票据                            19,000,000.00          22,000,000.00            -13.64%

应付账款                            57,441,207.57          55,622,301.90              3.27%

预收款项                                                      339,317.38            -100.00%

合同负债                              2,940,952.49          3,131,585.75              -6.09%

应付职工薪酬                        42,935,335.78          48,110,194.57            -10.76%

应交税费                              2,617,313.68          8,567,380.94            -69.45%

其他应付款                            8,826,022.28          11,877,945.03            -25.69%

一年内到期的非流动负债                2,285,816.36          10,012,919.44            -77.17%

其他流动负债                          2,260,442.92            229,178.92            886.32%

流动负债合计                        223,502,711.71        239,981,407.27              -6.87%

租赁负债                            10,927,514.67                                    100.00%

预计负债                                311,299.26                                    100.00%

递延收益                              6,718,370.00          7,882,700.00            -14.77%

递延所得税负债                        1,973,607.40            434,043.84            354.70%

非流动负债合计                      19,9
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