康達新材(002669.SZ)2022年度淨利潤預增104.58%-150.05%
格隆匯1月10日丨康達新材(002669.SZ)公佈,預計2022年度歸屬於上市公司股東的淨利潤4500萬元-5500萬元,同比增長104.58%-150.05%;扣除非經常性損益後的淨利潤3067.26萬元–4067.26萬元,同比增長463.56%-647.30%。
業績變動原因如下:1、報吿期內,公司主要產品原材料價格呈下降趨勢,對公司業績的恢復起到了正向作用;同時,公司積極實施降本增效,優化運營效率,不斷提升盈利能力,使公司經營業績預計較去年同期實現增長。
2、報吿期內,公司完成西安彩晶光電科技股份有限公司(“彩晶光電”)的股權收購,公司合計持有彩晶光電股權60.9205%;自2022年8月起,彩晶光電納入合併報表範圍。
3、報吿期內,預計非經常性損益對淨利潤的影響金額約1432.74萬元,主要系報吿期內收到的政府補助等。
未來,公司將繼續努力保持膠粘劑新材料主營業務穩定增長,逐步打造以電子信息材料為核心的第二增長曲線,持續推進軍工電子類產品的快速發展,加強公司科技創新能力,全面提升公司核心競爭力及盈利能力。
Follow us
Find us on
Facebook,
Twitter ,
Instagram, and
YouTube or frequent updates on all things investing.Have a financial topic you would like to discuss? Head over to the
uSMART Community to share your thoughts and insights about the market! Click the picture below to download and explore uSMART app!

Disclaimers
uSmart Securities Limited (“uSmart”) is based on its internal research and public third party information in preparation of this article. Although uSmart uses its best endeavours to ensure the content of this article is accurate, uSmart does not guarantee the accuracy, timeliness or completeness of the information of this article and is not responsible for any views/opinions/comments in this article. Opinions, forecasts and estimations reflect uSmart’s assessment as of the date of this article and are subject to change. uSmart has no obligation to notify you or anyone of any such changes. You must make independent analysis and judgment on any matters involved in this article. uSmart and any directors, officers, employees or agents of uSmart will not be liable for any loss or damage suffered by any person in reliance on any representation or omission in the content of this article. The content of the article is for reference only and does not constitute any offer, solicitation, recommendation, opinion or guarantee of any securities, virtual assets, financial products or instruments. Regulatory authorities may restrict the trading of virtual asset-related ETFs to only investors who meet specified requirements. Any calculations or images in the article are for illustrative purposes only.
Investment involves risks and the value and income from securities may rise or fall. Past performance is not indicative of future performance. Please carefully consider your personal risk tolerance, and consult independent professional advice if necessary.