深南电B:2022年第三季度报告(英文版).PDF
《深南电B:2022年第三季度报告(英文版).PDF》由会员分享,可在线阅读,更多相关《深南电B:2022年第三季度报告(英文版).PDF(15页珍藏版)》请在淘文阁 - 分享文档赚钱的网站上搜索。
1、深圳南山热电股份有限公司 2022 年第三季度报告 1 Stock Code:000037,200037 Notice No.:2022-045 Short Form of the Stock:Shen Nan Dian A,Shen Nan Dian B Shenzhen Nanshan Power Co.,Ltd.The Third Quarterly Report for 2022 The Company and whole members of the BOD guarantee that the information disclosed is true,accurate and c
2、omplete,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 Nanshan Power Co.,Ltd.(hereinafter referred to as the Company)hereby confirm
3、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 an
4、d 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 I.Main financial data(i)Main accounting data and financial indexes W
5、hether 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/decrease from year-begin to period-end compared with the same period of t
6、he previous year Operating income(Yuan)296,803,666.77 39.64%526,047,208.84-10.71%Net profit attributable to shareholders of the listed company(Yuan)-48,481,519.82-6.50%-142,579,668.91-223.56%Net profit attributable to shareholders of the listed company after deducting non-recurring gains and losses(
7、Yuan)-65,686,340.91-1.24%-193,191,895.39-128.90%Net cash flow arising from operating activities(Yuan)218,956,576.20 145.65%Basic earnings per share-0.0804-6.50%-0.2365-223.56%深圳南山热电股份有限公司 2022 年第三季度报告 2(Yuan/Share)Diluted earnings per share(Yuan/Share)-0.0804-6.50%-0.2365-223.56%Weighted average ROE
8、-3.24%1.00 percentage point decrease-9.23%7.06 percentage point decrease 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)2,851,741,667.36 2,790,002,824.41 2.21%Net assets attributable to shareholder of listed
9、 company(Yuan)1,472,713,466.60 1,615,293,135.51-8.83%(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 Government subsidy recorded in current gains/losses(except those closely related t
10、o the Companys normal operation,and those continuously enjoyed on a fixed or quantitative basis with certain standards in accordance with national policy regulations)2,717,374.86 7,158,020.64 Amortization of the government subsidy with assets concerned Losses/gains from changes of fair values occurr
11、ed in holding trading financial assets and trading financial liabilities,and investment income obtaining from the disposal of trading financial assets and trading financial liability,excluded effective hedging business relevant with normal operations of the Company 14,516,472.37 43,729,302.21 The in
12、come from financing management Other non-operating income and expenses other than the above -228,495.85 Less:impact on income tax Impact on minority shareholders equity(post-tax)29,026.14 46,600.52 Total 17,204,821.09 50,612,226.48-Other gain/loss items that qualified the definition of non-recurring
13、 profit(gains)/losses:Applicable Not applicable The Company does 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
14、Securities to the Public-Extraordinary Profit/loss”defined as recurring gain/loss Applicable Not applicable 深圳南山热电股份有限公司 2022 年第三季度报告 3 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 P
15、ublic-Extraordinary Profit/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.Ending amount of trading financial assets were 888.8065 million yuan,40.44%up from beginning of th
16、e year,mainly due to the increase in procurement of financial products;2.Ending amount of account receivable was 169.7782 million yuan,130.64%up from beginning of the year,mainly due to the the increase of grid fees receivable;3.Ending amount of account paid in advance was 22.2272 million yuan,65.49
17、%down from beginning of the year,mainly due to the decline of natural gas payment in advance;4.Ending amount of contract assets were 0 yuan,100.00%down from beginning of the year,mainly due to the recovery of settlement for operation&maintenance projects;5.Ending amount of other current assets were
18、9.5433 million yuan,97.12%down from beginning of the year,mainly due to the receipt of VAT rebate;6.Ending amount of other equity instrument was 300.615 million yuan,49.85%up from beginning of the year,mainly due to the increase in outbound investment;7.Ending amount of short-term loans were 1141.26
19、71 million yuan,32.95%up from beginning of the year,mainly due to the increase in short-term loans from bank;8.Ending amount of note payable was 72.5158 million yuan,46.29%down from beginning of the year,mainly due to the decrease in bank acceptance bill;9.Ending amount of account payable was 21.887
20、5 million yuan,226.51%up from beginning of the year,mainly due to the increase in payable amount of natural gas;10.Ending amount of taxes payable was 14.8027 million yuan,257.05%up from beginning of the year,mainly due to the increase of VAT payable;11.Ending amount of other account payable was 39.2
21、161 million yuan,37.43%down from beginning of the year,mainly because the payable electricity amount to Guangdong Power Grid declined;12.Sales expenses from beginning of the year to end of the reporting period was 0 yuan with 100%down on a y-o-y basis,mainly due to the reconstruction and elimination
22、 of the sludge drying facilities from subsidiary-Environmental Company,and no sales expenses occurred;13.R&D expenses from beginning of the year to end of the reporting period was 22.22 million yuan with 296.76%up on a y-o-y basis,mainly due to the growth of R&D expenses from parent company;深圳南山热电股份
23、有限公司 2022 年第三季度报告 4 14.Financial expenses from beginning of the year to end of the reporting period was 24.0343 million yuan with 174.14%up on a y-o-y basis,mainly due to the growth of loans size;15.Other income from beginning of the year to end of the reporting period was 7.158 million yuan with 30
24、.52%up on a y-o-y basis,mainly due to the increase of government subsidies received;16.Investment income from beginning of the year to end of the reporting period was 50.0628 million yuan with 66.96%up on a y-o-y basis,mainly due to the growth of income from financial management products;17.Assets d
25、isposal income from beginning of the year to end of the reporting period was 0 yuan with 100%declined on a y-o-y basis,mainly due to the decrease of income from fixed assets disposal;18.Non-operation income from beginning of the year to end of the reporting period was 0 yuan with 100%declined on a y
- 配套讲稿:
如PPT文件的首页显示word图标,表示该PPT已包含配套word讲稿。双击word图标可打开word文档。
- 特殊限制:
部分文档作品中含有的国旗、国徽等图片,仅作为作品整体效果示例展示,禁止商用。设计者仅对作品中独创性部分享有著作权。
- 关 键 词:
- 深南电 2022 第三 季度 报告 英文
限制150内