润丰股份:2022年第三季度报告(英文版).docx
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1、 2022 Q3 Report To be a Global Leading Crop Protection Company Stock code:301035 Stock abbreviation: Rainbow Agro Announcement No.: 2022-052 SHANDONG WEIFANG RAINBOW CHEMICAL CO.,LTD The Third Quarter Report of 2022 The Company and all members of the Board of Directors warrant that the contents of t
2、he Semi-annual Report are true, accurate and complete, without false records, misleading statements or major omissions. Important notes: 1. The Board of Directors, Board of Supervisors, directors, supervisors and senior management warrant that the contents of the Quarterly Report are true, accurate
3、and complete, without false records, misleading statements or major omissions, and shall bear individual and collective legal liabilities. 2. The legal representative of the Company,the chief accountant in charge, and the chief of the accounting institution (accounting supervisor), stated that the f
4、inancial report in the Quarterly Report is true, accurate and complete. 3. Whether the Third Quarter Report is audited Yes RNo I. Key Financial Data (I) Key Accounting Data and Financial Indicators Whether the Company needs to retroactively adjust or restate the accounting data of previous years Yes
5、 RNo Q3 2022 Year-on-year increase or decrease From the start of 2022 to the end of Q3 2022 Year-on-year increase or decrease Operating income (RMB) 4,137,087,681.52 50.75% 11,915,662,694.56 76.31% Net profit attributable to shareholders of the Company (RMB) 418,239,540.16 138.62% 1,305,889,184.58 1
6、90.17% Net profit attributable to shareholders of the Company excluding non-recurring gains and losses (RMB) 419,545,222.57 136.58% 1,312,684,739.39 195.91% Net cash flow from operating activities (RMB) - - 2,115,819,098.24 601.80% Basic earnings per share (RMB/Share) 1.51 118.84% 4.73 134.16% Dilut
7、ed earnings per share (RMB/Share) 1.52 120.29% 4.75 135.15% Weighted average return on net assets 7.19% 2.93% 23.93% 10.46% End of Q3 2022 End of 2021 Increase or decrease of the current reporting period compared with the end of the last year Total assets (RMB) 13,809,941,168.30 10,311,655,543.89 33
8、.93% Equity attributable to shareholders of the Company (RMB) 6,032,937,128.56 4,908,724,302.71 22.90% (II) Items and Amounts of Non-recurring Gains and Losses R Applicable Not applicable Unit: RMB Item Amount of Q3 2022 From the start of 2022 to the end of Q3 2022 Notes Gain and loss on disposal of
9、 non-current assets (including the write-off portion of asset impairment provision) -6,201,328.30 -21,939,780.20 Government subsidies included in current gains and losses (closely related to normal operational business of the Company, excluding the continuous government subsidies of certain amount o
10、r quota complying with national policies) 2,175,550.64 9,852,312.17 Other non-operating revenue 2,799,749.64 4,168,200.78 and expenditure other than those mentioned above Less: affected amount of income tax 104,720.89 -1,116,414.65 Affected amount of minority shareholders equity (after tax) -25,066.
11、50 -7,297.79 Total -1,305,682.41 -6,795,554.81 - Other gains and losses items that meet the definition of non-recurring gains and loss: Applicable RNot applicable There are no other gains and losses items of the Company that meet the definition of non-recurring gains and loss. Reasons for the non-re
12、curring profit and loss items listed in Explanatory Announcement on Information Disclosure for Companies Offering Their Securities to the Public No.1 - Non-recurring Gains and Losses recognized as recurring gains and losses items Applicable RNot applicable There is no circumstance where the non-recu
13、rring profit and loss items listed in Explanatory Announcement on Information Disclosure for Companies Offering Their Securities to the Public No.1 - Non-recurring Gains and Losses are recognized as recurring gains and losses items. (III) Changes to Key Accounting Data and Financial Indicators and R
14、easons R Applicable Not applicable 1. Balance Sheet Unit: RMB Item Friday, September 30, 2022 Saturday, January 1, 2022 Change Reason for change Monetary funds 5,475,298,834.68 3,724,744,059.71 47.00%Mainly caused by increase in collected payments during the reporting period Financial assets held fo
15、r trading 6,000,000.00 200,000,000.00 -97.00%Mainly caused by repurchase of financial products during the reporting period Notes receivable 58,147,122.76 35,385,609.76 64.32%Mainly caused by increase of notes endorsed and not due during the reporting period Accounts receivable 3,823,556,208.16 2,328
16、,358,879.35 64.22%Mainly caused by increase in accounts receivable due to revenue growth during the reporting period Prepayments 118,737,234.62 77,313,374.04 53.58%Mainly caused by prepayments for materials during the reporting period Other receivables27,862,788.27 11,576,269.72 140.69%Mainly caused
17、 by increase in advanced borrowing for covering domestic and overseas travel expenses during the reporting period Other current assets 352,479,320.96 264,431,341.13 33.30%Mainly caused by increase in VAT to be deducted and taxes to be paid in advance during the reporting period Fixed assets 1,611,46
18、1,003.66 1,218,635,770.03 32.23%Mainly caused by transfer in completion projects of construction in progress during the reporting period Goodwill 49,941,550.10 26,949,350.10 85.32%Mainly caused by acquisition of new businesses during the reporting period Long-term deferred expenses 2,927,013.76 1,97
19、2,932.08 48.36%Mainly caused by increase in renovation costs of rented offices during the reporting period Deferred income tax assets 127,977,537.40 46,893,086.34 172.91%Mainly caused by increase in unrealized profits from internal transactions during the reporting period Notes payable 5,234,477,673
20、.42 3,369,427,627.30 55.35%Mainly caused by increase in payments for materials by notes during the reporting period Contract liability 147,446,162.49 45,096,633.96 226.96%Mainly caused by increase in advances on sales during the reporting period Taxes payable 167,180,279.48 83,154,482.55 101.05%Main
21、ly caused by increase in income tax payable during the reporting period Other payables 38,728,107.86 29,657,941.65 30.58%Mainly caused by increase in payments on behalf of others for customs clearance during the reporting period Long-term loan 14,867,073.83 25,555,537.87 -41.82%Mainly caused by repa
22、yments of bank loans during the reporting period 2. Income Statement Unit: RMB Item January-September 2022 January-September 2021 Change Reason for change Operating income 11,915,662,694.56 6,758,348,369.76 76.31%Mainly caused by business growth during the reporting period Operating cost 9,425,611,0
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