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云中马:浙江云中马股份有限公司2022年度财务决算报告

公告日期:2023-04-18

云中马:浙江云中马股份有限公司2022年度财务决算报告 PDF查看PDF原文

            浙江云中马股份有限公司

                2022年度财务决算报告

  浙江云中马股份有限公司(以下简称“公司”)根据《企业会计准则》、《公司章程》等的有关规定,已完成 2022 年度财务决算工作,现将有关情况报告如下:一、公司 2022 年度主要会计数据和财务指标

  公司主要财务指标及其同期比较情况如下表所示:

                                                                  单位:元

        项目              本年度          上一年度      本年比上年增减(%)

营业收入              1,888,961,192.36  1,710,322,254.53        10.44

归属于上市公司股东的

                      100,862,792.18    120,077,189.29          -16.00

净利润
归属于上市公司股东的

扣除非经常性损益的净    84,077,933.83    120,881,056.64          -30.45

利润
经营活动产生的现金流

                      -51,377,337.44    135,991,426.40        -137.78

量净额

基本每股收益                0.93              1.14              -18.42

稀释每股收益                0.93              1.14              -18.42

加权平均净资产收益率        16.25%            25.80%        减少 9.55 个百分点

                          2022 年末          2021 年末      本年末比上年末增减

总资产                2,151,963,645.71  1,335,698,409.44        61.11


  归属于上市公司股东的

                        1,245,548,352.89    518,172,730.52          140.37

  净资产

  二、报告期内归属于上市公司股东的权益变动情况

                                                                    单位:元

项目      股本        资本公积      盈余公积      未分配利润    所有者权益合计

上年

期末  105,000,000.00  41,798,679.56  43,762,693.91 327,611,357.05  518,172,730.52
余额
本年

期初  105,000,000.00  41,798,679.56  43,762,693.91  327,611,357.05  518,172,730.52
余额
本期

      35,000,000.00  591,512,830.19  9,744,230.70  91,118,561.48  727,375,622.37
增减
本年

期末  140,000,000.00 633,311,509.75  53,506,924.61 418,729,918.53  1,245,548,352.89
余额

  三、报告期内,主要财务数据大幅变动的情况及原因

  (一)资产负债表中涉及变动情况

                                                                          单位:元

      项目          本期数          上期数      增减幅度(%)      说明

  应收账款      201,750,909.75    216,875,958.35      -6.97    2022 年末收款良好

                                                              公司预估坯布价格
预付款项      69,023,797.99      6,667,949.20      935.16    已在低位,预付坯布
                                                              款,锁定价格

固定资产      427,680,688.58    305,937,214.74      39.79    机器设备采购

长期待摊费                                                  排污权指标有偿使
              3,108,443.43          0.00            0

用                                                            用费285 万元

                                                              公司预估坯布价格
                                                              已在低位,锁定价格
应付账款      116,115,432.13    258,946,007.57      -55.16

                                                              预付款增加,应付款
                                                              减少

(二)利润表中涉及变动情况

                                                                      单位:元

  项目        本期数            上期数      增减幅度(%)        说明

                                                              收入上升1.79 亿,
营业收入  1,888,961,192.36  1,710,322,254.53      10.44

                                                              增幅10.44%

                                                              成本上升2.54 亿,
营业成本  1,718,133,864.24  1,464,462,338.44      17.32

                                                              增幅17.32%

                                                              销售费用下降 0.02
销售费用  8,493,884.59      10,569,199.27        -19.64

                                                              亿,降幅19.64%

                                                              管理费用下降 0.01
管理费用  39,604,512.89    40,614,530.49          -2.49

                                                              亿,降幅2.49%

营业外支                                                    2021 年污水池技改
          109,208.26        7,907,893.16          -98.62

出                                                            损益665 万元

(三)现金流量表中涉及变动情况


                                                                      单位:元

    项目          本期数          上期数      增减幅度(%)      说明

                                                                本期比上期增加
销售商品、提供

              1,889,326,304.26 1,392,349,423.85      35.69      4.97 亿,增幅
劳务收到的现金

                                                                35.69%

                                                                本期比上期增加
购买商品、接受

              1,738,518,971.74 1,073,321,995.37      61.98      6.65 亿,增幅
劳务收到的现金

                                                                61.98%

                                                                本期比上期增加
支付的各项税费  79,745,953.85    73,562,076.63        8.41      0.06 亿,增幅
                                                                8.41%

四、其他财务情况说明

  (一)2022 年度财务报告审计情况

  公司 2022 年度财务报告已经天健会计师事务所(特殊普通合伙)审计,并出具了2022 年度的审计报告。
(二)其他财务情况
1、非经常性损益

  2022 年度,公司计入当期损益的政府补助皆属于非经常性损益,归属于母公司所有者的非经常性损益净额 16,784,858.35 元。
2、净资产收益率及每股收益

    明细情况

 报告期利润            加权平均净资产        每股收益(元/股)


                        收益率(%)    基本每股收益  稀释每股收益

归属于公司普通股股东

                                  16.25          0.93          0.93
的净利润
扣除非经常性损益后归

属于公司
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