深赛格B:2022年三季度报告(英文版).PDF
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1、The Third Quarterly 2022 Report for 2022 of Shenzhen SEG Co.,Ltd.1 Stock code:000058,200058 Notice No.:2022-065 Stock abbreviation:SHEN SEG,SHEN SEG B Shenzhen SEG Co.,Ltd.The Third Quarterly Report for 2022 The Company and whole members of the BOD guarantee that the information disclosed is true,ac
2、curate and complete,and there are no any fictitious records,misleading statements or important omissions.Important content reminder:1.Board of Directors,Supervisory Committee,all directors,supervisors and senior executives of Shenzhen SEG Co.,Ltd.(hereinafter referred to as the Company)hereby confir
3、m that there are no any fictitious statements,misleading statements,or important omissions carried in this report,and shall take all responsibilities,individual and/or joint,for the reality,accuracy and completion of the whole contents.2.Principal of the Company,Person in Charge of Accounting Works
4、and Person in Charge of Accounting Organ(Accounting Officer)hereby confirm that the Financial Report of the Third Quarterly Report is authentic,accurate and complete.3.Whether the Third Quarterly Report has been audited or not Yes No The Third Quarterly 2022 Report for 2022 of Shenzhen SEG Co.,Ltd.2
5、 I.Main financial data(i)Main accounting data and financial indexes Whether it has retroactive adjustment or re-statement on previous accounting data or not Yes No Current period Increase/decrease in the period compared with the same period of the previous year Year-begin to period-end Increase/decr
6、ease from year-begin to period-end compared with the same period of the previous year Operating income(Yuan)470,972,297.93 1.56%1,312,587,406.20-7.40%Net profit attributable to shareholders of the listed company(Yuan)43,046,386.07 671.26%19,222,397.31-64.05%Net profit attributable to shareholders of
7、 the listed company after deducting non-recurring gains and losses(Yuan)9,385,657.46 447.59%-18,148,087.87-149.40%Net cash flow arising from operating activities(Yuan)32,850,052.08 24.16%Basic earnings per share(Yuan/Share)0.0349 675.84%0.0156 -63.97%Diluted earnings per share(Yuan/Share)0.0349 675.
8、84%0.0156 -63.97%Weighted average ROE 2.18%1.89%0.98%-1.80%End of current period End of previous year Increase/decrease at the period-end compared with the end of the previous year Total assets(Yuan)5,286,984,169.67 5,632,373,265.14-6.13%Net assets attributable to shareholder of listed company(Yuan)
9、1,938,111,951.83 1,984,760,159.28-2.35%(ii)Items and amounts of non-recurring profit(gains)/losses Applicable Not applicable Unit:Yuan Item Amount for the period Amount from year-begin to period-end Note Gains/losses from the 40,982,397.47 40,919,736.22 Mainly due to the sale of The Third Quarterly
10、2022 Report for 2022 of Shenzhen SEG Co.,Ltd.3 disposal of non-current asset(including the write-off that accrued for impairment of assets)stock of Huakong SEG during the reporting period Government subsidy recorded in current gains/losses(except those closely related to the Companys normal operatio
11、n,and those continuously enjoyed on a fixed or quantitative basis with certain standards in accordance with national policy regulations)1,186,113.50 3,621,649.32 Capital occupation fee charged to non-financial enterprise that reckoned into current gains/losses 214,101.84 Profit and loss from commiss
12、ioned investment or asset management 3,543,008.48 6,193,914.88 Trust fee obtained from trust operation 31,913.70 97,291.00 Other non-operating income and expenses other than the above 789,208.64 1,122,295.01 Other gains/losses items that meet the definition of non-recurring gains/losses 30,449.80 44
13、2,749.88 Less:impact on income tax 11,600,626.98 13,059,503.01 Impact on minority shareholders equity(post-tax)1,301,736.00 2,181,749.96 Total 33,660,728.61 37,370,485.18-Other gain/loss items that qualified the definition of non-recurring profit(gains)/losses:Applicable Not applicable The Company d
14、oes not have other gain/loss items that qualified the definition of non-recurring profit(gains)/losses Explanation on those non-recurring gain/loss listed in the“Q&A Announcement No.1 on Information Disclosure for Companies Offering Their Securities to the Public-Extraordinary Profit/loss”defined as
15、 recurring gain/loss The Third Quarterly 2022 Report for 2022 of Shenzhen SEG Co.,Ltd.4 Applicable Not applicable The Company does not have the non-recurring gain/loss listed in the“Q&A Announcement No.1 on Information Disclosure for Companies Offering Their Securities to the Public-Extraordinary Pr
16、ofit/loss”defined as recurring gain/loss(iii)Particulars about changes in items of main accounting data and financial index and explanations of reasons Applicable Not applicable(1)Items of the Consolidated Balance Sheet Statement Unit:Yuan Item Closing balance Opening balance Difference Increase or
17、decrease at the end of the period compared with the beginning of the period(%)Reasons for differences Monetary fund 754,803,066.26 1,102,543,548.87 -347,740,482.61-31.54%Mainly due to the returning of borrowings to controlling shareholders and principal&interest of bank loans Account receivable 298,
18、887,826.69 209,248,610.21 89,639,216.48 42.84%Mainly due to the settlement of Companys property management business Other account receivable 101,863,738.23 50,022,297.47 51,841,440.76 103.64%Mainly because the business contacts increased Short-term borrowing 110,000,000.00 63,003,480.82 46,996,519.1
19、8 74.59%Mainly because the bank borrowings growth Other current liabilities 5,169,241.10 1,199,408.55 3,969,832.55 330.98%Mainly due to the growth of taxes ready to be transferred (2)Items of Consolidated Profit Statement Unit:Yuan Item Amount for the current period Amount of the same period of the
20、previous year Difference Increase/decrease in the current period compared with the same period of last year(%)Reasons for differences R&D expenses 6,465,826.38 3,395,145.58 3,070,680.80 90.44%Mainly due to the increase investment in R&D in the Period The Third Quarterly 2022 Report for 2022 of Shenz
21、hen SEG Co.,Ltd.5 Financial expenses 38,692,104.55 61,326,101.97 -22,633,997.42-36.91%Mainly due to the decrease in financing size in the Period Investment income 40,729,613.09 5,484,906.30 35,244,706.79 642.58%Mainly due to the gains from sales of the stock of Huakong SEG in the Period Credit impai
22、rment loss 547,396.51 5,786,949.61 -5,239,553.10-90.54%Mainly due to the recovery of litigation in the same period last year Income tax expense 33,975,004.00 72,175,008.10 -38,200,004.10-52.93%Mainly due to the policy-based rent reduction in the Period (3)Items of the Consolidated Cash Flow Statemen
23、t Unit:Yuan Item Amount for the current period Amount of the same period of the previous year Difference Increase/decrease in the current period compared with the same period of last year(%)Reasons for differences Net cash flow arising from investment activities-12,701,824.85 89,705,143.41 -102,406,
24、968.26-114.16%Mainly because the net wealth management purchased in the Period increased on a y-o-y basis Net cash flow arising from financing activities-360,555,805.03-123,274,962.04 -237,280,842.99-192.48%Mainly due to the return of borrowings and interests to controlling shareholder in the Period
25、 Net increase in cash and cash equivalents-340,407,577.80-7,111,651.47-333,295,926.33-4686.62%The net cash flow arising from investment and financing activities declined in the Period II.Shareholders Information(i)Total number of common shareholders and preference shareholders with voting rights rec
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