深纺织B:2022年第三季度报告(英文版).PDF
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1、The Third Quarterly Report 20221Stock code:000045,200045Stock Abbreviation:Shen Textile A,Shen Textile BAnnouncement No.:2022-41Shenzhen Textile(Holdings)Co.,Ltd.The Third Quarterly Report 2022The Company and its directors hereby guarantee that the content of information disclosure is real,accurate,
2、complete and free from any false record,misleading representation or material omissions.Important content reminder:1.The Board of Directors,The Supervisory Committee,the supervisors and the directors of the Companyguarantee that there are no significant omissions,fictitious or misleading statements
3、carried in the Report andwe will accept individual and joint responsibilities for the truthfulness,accuracy and completeness of the Report.2.Principal of the Company,General Manager,Person in Charge of Accounting Works and Person in Charge ofAccounting Organ(Accounting Officer)hereby confirm that th
4、e Financial Report of the Third Quarterly Reportis authentic,accurate and complete.3.Whether the Third Quarterly Report has been audited or notYes NoI.Main financial data(I)Main accounting data and financial indexesWhether it has retroactive adjustment or re-statement on previous accounting data or
5、notYes NoThis periodIncrease/decrease inthe period comparedwith the same periodof the previous yearYear-begin toperiod-endIncrease/decrease from year-begin toperiod-endcomparedwith the sameperiod of theprevious yearOperating income(Yuan)676,901,015.1718.60%2,122,038,324.2626.89%Net profit attributab
6、le to the shareholders ofthe listed company(Yuan)14,115,950.48186.82%56,549,475.58-30.64%Net profit after deducting of non-recurringgain/loss attributable to the shareholders oflisted company(Yuan)9,730,544.281,092.65%44,701,519.74-28.63%Cash flow generated by business operation,net(Yuan)115,901,783
7、.45-271.40%The Third Quarterly Report 20222Basic earning per share(Yuan/Share)0.0279187.63%0.1116-30.60%Diluted gains per share(Yuan/Share)0.0279187.63%0.1116-30.60%Weighted average return on equity(%)0.50%0.33%2.00%-0.91%End of thisperiodEnd of last periodIncrease/decrease at the period-endcompared
8、 with the end of theprevious yearGross assets(Yuan)5,582,145,871.055,496,647,107.831.56%Net assets attributable to the shareholders ofthe listed company(Yuan)2,848,193,370.212,816,795,889.891.11%(II)Items and amount of non-current gains and lossesApplicable Not applicableIn RMBItemsThis periodAmount
9、 from year-beginto period-endNotesNon-current asset disposalgain/loss(including the write-off part forwhich assets impairment provision is made)0.00-11,114.72Governmental Subsidy accounted as currentgain/loss,except for those subsidies at withamount or quantity fixed by the nationalgovernment and cl
10、osely related to theCompanys business operation.7,869,993.5318,650,648.01Other benefits of governmentsubsidies that are confirmedrelated to the main business.Net amount of non-operating income andexpense except the aforesaid items-606,222.86948,801.90Less:Influenced amount of income tax45,239.68158,
11、257.89Influenced amount of minor shareholdersequity(after tax)2,833,124.787,582,121.46Total4,385,406.2111,847,955.84-Other gain/loss items that qualified the definition of non-recurring profit(gains)/losses:Applicable Not applicableThe Company does not have other gain/loss items that qualified the d
12、efinition of non-recurring profit(gains)/lossesExplanation on those non-recurring gain/loss listed in the“Q&A Announcement No.1 on InformationDisclosure for Companies Offering Their Securities to the Public-Extraordinary Profit/loss”defined asrecurring gain/lossApplicable Not applicableThe Company d
13、oes not have the non-recurring gain/loss listed in the“Q&A Announcement No.1 onInformation Disclosure for Companies Offering Their Securities to the Public-Extraordinary Profit/loss”defined as recurring gain/loss(III)Particulars about changes in items of main accounting data and financial index and
14、explanations ofreasons Applicable Not applicableIn the first third quarters of 2022,the Company realized the net profit attributable to shareholders of thelisted company of RMB 56.5495 million,a decrease of 30.64%over the same period last year.Its mainly dueto that in order to jointly respond to the
15、 new coronavirus epidemic and actively fulfill social responsibilities thisyear,the Company and its wholly-owned and holding subsidiaries have reduced property rents for eligibleproperties,therefore the rental income of the current period has decreased significantly YOY.The Third Quarterly Report 20
16、223In the third quarter of 2022,the Company realized the net profit attributable to shareholders of the listedcompany of RMB 14.116,an increase of 186.82%from the same period last year.Its mainly due to that theyield and loss rate and other technical indicators of the Companys ultra-large size TV po
17、larizer project(Line 7)had improved to a certain extent compared with the same period of the previous year,and the productioncapacity had increased YOY,boosted the Companys this quarter operating performance upped YOY.ItemsEnding balance(RMB 10,000)Operaingbalance(RMB10,000)Changes ratioReasons of c
18、hangesMonetary funds56,635.4930,247.2887.24%Mainly due to the increase in business volume boosted bythe mass production of Line 7 and the release of productioncapacity.Notes receivable9,395.0314,994.29-37.34%Mainly due to a decrease in the acceptance bills accepted inthe polarizer business sales dur
19、ing the reporting period.Account receivable62,932.3547,999.8731.11%Mainly due to the increase in business volume boosted bythe mass production of Line 7 and the release of productioncapacity.Financing receivable7,043.192,147.41227.99%Mainly due to the increase in business volume boosted bythe mass p
20、roduction of Line 7 and the release of productioncapacity.Prepayments5,425.901,540.66252.18%Mainly due to an increase in advances for materials.Other accountreceivable766.6114,018.58-94.59%Mainly due to a decrease in the return of customs deposits.Other current asset8,054.752,950.34173.01%Mainly due
21、 to the verification of input VAT to be deductedduring the reporting period and thereby transferred into taxpayable.Construction in progress2,969.137,148.20-58.46%Mainly due to the transfer of RTP production lines intofixed assets.Use right assets1,442.92922.1256.48%Mainly due to the increase in lea
22、sed warehouses.Other non-currentfinance asset-3,065.09-100.00%Mainly due to the disposal of other non-current assets.Other non-current asset5,587.088,456.03-33.93%Mainly due to the receipt of prepaid payment invoices forengineering and equipment.Short-term loans1,435.003,757.51-61.81%Mainly due to a
23、 decrease in discounted unexpiredacceptances.Advance receipts1,251.16180.53593.04%Mainly due to the rent reduction transferred into theadvance collection of rent.Tax payable431.31920.06-53.12%Mainly due to the rent income reduction.Other account payable13,850.9220,131.74-31.20%Mainly caused by the p
24、ayment of the project.Lease liability647.56424.3952.59%Mainly caused by the increase of backup warehouses.Other current liabilities6,108.192,752.39121.92%Mainly due to the increase in the discount notes caused byboosted business.The Third Quarterly Report 20224ItemsAmount at theperiod(RMB10,000)Amou
25、nt at thesame period oflast year(RMB10,000)Changes ratioReasons of changesR&D expense5,916.907,284.51-18.77%Financial expenses186.80-168.32-210.98%Mainly due to the interest expensed after the Line 7transferred into fixed assets.Credit impairment loss-8.88-318.58-97.21%Mainly due to the collection o
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