美的集团:2022年第三季度报告(英文).PDF
《美的集团:2022年第三季度报告(英文).PDF》由会员分享,可在线阅读,更多相关《美的集团:2022年第三季度报告(英文).PDF(13页珍藏版)》请在淘文阁 - 分享文档赚钱的网站上搜索。
1、Interim Report for the Third Quarter 2022 of Midea Group Co.,Ltd.1 Stock code:000333 Stock name:Midea Group Announcement No.:2022-097 Midea Group Co.,Ltd.Interim Report for the Third Quarter 2022 Midea Group Co.,Ltd.(hereinafter referred to as the“Company”)and all the members of the Companys Board o
2、f Directors have warranted that the information given in this Report is true,accurate and complete,as well as free of any false record,misleading statement or material omission.Important Reminders:1.The Board of Directors,the Supervisory Committee as well as all the directors,supervisors and senior
3、management staff of the Company have warranted that this Report contains no false record,misleading statement or material omission.And they shall be jointly and severally liable for the truthfulness,accuracy and completeness of the information given in this Report.2.The legal representative,principa
4、l in charge of accounting and head of the accounting department of the Company have represented and warranted that the financial information in this Report is true,accurate and complete.3.Is this Report audited by a CPA firm?Yes No This Report has been prepared in both Chinese and English.Should the
5、re be any discrepancies or misunderstandings between the two versions,the Chinese version shall prevail.Interim Report for the Third Quarter 2022 of Midea Group Co.,Ltd.2 1.Key financial information 1.1 Major accounting data and financial indicators Does the Company adjust retrospectively or restate
6、 accounting data of previous years?Yes No July-September 2022 YoY Change(%)January-September 2022 YoY Change(%)Operating revenue(RMB000)87,705,744 0.20%270,366,753 3.45%Net profit attributable to shareholders of the Company(RMB000)8,474,425 0.33%24,469,921 4.33%Net profit attributable to shareholder
7、s of the Company before non-recurring gains and losses(RMB000)8,374,107 5.63%24,065,619 6.65%Net cash flows from operating activities(RMB000)29,472,352 5.65%Basic earnings per share(RMB/share)1.25 0.81%3.59 5.28%Diluted earnings per share(RMB/share)1.24 0.81%3.58 5.60%Weighted average ROE(%)6.46%-0.
8、84%18.36%-1.15%30 September 2022 31 December 2021 Change(%)Total assets(RMB000)417,453,076 387,946,104 7.61%Net assets attributable to shareholders of the Company(RMB000)139,231,869 124,868,124 11.50%Notes:Profit from operation was RMB9.98 billion during the three months ended 30 September 2022,repr
9、esenting a year-on-year increase of 14.3%,and that for the nine months ended 30 September 2022 was RMB28.84 billion,representing an increase of 10.9%from a year ago.Profit from operation is operating profit less investment income and gains/losses on changes in fair value.The Companys five business s
10、egments,namely the Smart Home Business Group,the Industrial Technology Business Group,the Building Technologies Division,the Robotics&Automation Division,and the Digital Innovation Business recorded revenue of RMB186.2 billion(up 1.70%year-on-year),RMB17 billion(up 14.84%year-on-year),RMB17.9 billio
11、n(up 22.65%year-on-year),RMB19.5 billion(up 5.72%year-on-year),and RMB8.1 billion(up 37.30%year-on-year)respectively during January-September 2022.1.2 Non-recurring gains and losses Applicable N/A Unit:RMB000 Interim Report for the Third Quarter 2022 of Midea Group Co.,Ltd.3 Item July-September 2022
12、 January-September 2022 Note Gain or loss from disposal of non-current assets -20,859 1,297 Except for effectively hedging business related to normal business operations of the Company,gain or loss arising from the change in the fair value of financial assets held for trading,derivative financial as
13、sets,financial liabilities held for trading,derivative financial liabilities,and other non-current financial assets,as well as investment income or loss produced from the disposal of the aforesaid financial assets and liabilities -241,045 -675,386 Other non-operating income and expenses except above
14、-mentioned items 316,391 1,088,768 Less:Corporate income tax -56,616 -26,521 Minority interests(after tax)10,785 36,898 Total 100,318 404,302 -Particulars about other items that meet the definition of non-recurring gain/loss:Applicable N/A No such cases for the Reporting Period.Explain the reasons i
15、f the Company classifies an item as a recurring gain/loss item,which is enumerated as a non-recurring gain/loss in the:Applicable N/A No such cases for the Reporting Period.1.3 Major changes of main items in financial statements and financial indicators,as well as the reasons for the changes Applica
16、ble N/A Unit:RMB000 Financial statement items(consolidated)30 September 2022/January-September 2022 31 December 2021/January-September 2021 Change(%)Reasons for the changes Financial assets held for trading 3,521,607 5,879,202 -40.10%Mainly due to the decreased structured deposits Derivative financi
17、al assets 734,757 545,865 34.60%Mainly due to the changes in the fair value of derivative financial instruments Loans and advances 14,075,276 21,508,527-34.56%Mainly due to the changes in the operations of the finance business Other receivables 2,135,800 3,104,065 -31.19%Mainly due to the decreased
18、receivables and advances for others Interim Report for the Third Quarter 2022 of Midea Group Co.,Ltd.4 Current portion of non-current assets 40,335,141 19,851,577 103.18%Mainly due to the acquisition of fixed-income products with a maturity of over one year Other current assets 51,672,375 33,156,012
19、 55.85%Mainly due to the acquisition of fixed-income products with a maturity of over one year Other debt investments 10,703,172 7,893,935 35.59%Mainly due to the increased large-denomination negotiable certificates of deposit Construction in progress 3,988,108 2,690,930 48.21%Mainly due to the incr
20、eased construction in progress Short-term borrowings 8,758,645 5,381,623 62.75%Mainly due to the increased borrowings Derivative financial liabilities 369,139 157,602 134.22%Mainly due to the changes in the fair value of derivative financial instruments Current portion of non-current liabilities 1,6
21、91,493 28,947,540 -94.16%Mainly due to the repayment of borrowings Long-term borrowings 55,483,504 19,734,020 181.16%Mainly due to the increased borrowings Deferred income 1,742,904 1,228,459 41.88%Mainly due to the increased government subsidies received Other comprehensive income 573,069 -1,758,94
22、8 132.58%Mainly due to the changes in differences on translation of foreign currency financial statements Interest costs 35,457 76,088 -53.40%Mainly due to the changes in the operations of the finance business Financial expenses -2,110,455 -3,349,461 36.99%Mainly due to the increased exchange losses
23、 Investment income 862,732 1,999,228 -56.85%Mainly due to the decreased investment income derived in the period of holding financial assets held for trading Losses on disposal of assets -3,640 57,969 -106.28%Mainly due to the increased losses on disposal of non-current assets Non-operating expenses
24、71,626 139,501 -48.66%Mainly due to the decreased donation expenditures Net cash flows from investing activities -18,705,995 6,680,656 -380.00%Mainly due to the decreased cash received from disposal of investments Net cash flows from financing activities -1,171,191 -27,666,525 95.77%Mainly due to th
25、e increased cash received from borrowings Net increase in cash and cash equivalents 9,944,675 6,662,307 49.27%Mainly due to the increased net cash flows from financing activities 2.Shareholder information 2.1 Total number of common shareholders and preference shareholders with resumed voting rights,
- 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:
- 集团 2022 第三 季度 报告 英文
限制150内