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首页 公告 丰原药业:丰原药业2021年度财务决算报告

丰原药业:丰原药业2021年度财务决算报告

公告日期:2022-04-29

丰原药业:丰原药业2021年度财务决算报告 PDF查看PDF原文

            安徽丰原药业股份有限公司

              2021 年度财务决算报告

  安徽丰原药业股份有限公司(以下简称“丰原药业”或“公司”)2021 年度财务报表经中证天通会计师事务所(特殊普通合伙)审计,并出具了标准无保留意见的审计报告(中证天通(2022)证审字第 010200007 号)。审计意见认为,公司财务报表在
所有重大方面按照企业会计准则的规定编制,公允反映了丰原药业 2021 年 12 月 31 日
的合并及母公司财务状况,以及 2021 年度的合并及母公司经营成果和现金流量。

  现将公司 2021 年度财务决算情况报告如下:

    一、公司主要财务数据

                                                                  金额单位:人民币元

      项目              2021 年          2020 年          增减额        增减率

 资产总额            3,816,330,179.12  3,636,207,572.40  180,122,606.72    4.95%

 归属于上市公司股东  1,528,153,114.79  1,413,489,476.40  114,663,638.39    8.11%
 的净资产

 营业收入            3,501,668,742.45  3,321,182,365.33  180,486,377.12    5.43%

 归属于上市公司股东    114,597,454.55    103,720,155.65    10,877,298.90    10.49%
 的净利润
 归属于上市公司股东

 的扣除非经常性损益    69,940,271.86    57,622,979.48    12,317,292.38    21.38%
 的净利润

 经营活动产生的现金    237,881,716.28    292,753,328.44    -54,871,612.16    -18.74%
 流量净额

 基本每股收益(元/股)          0.3671            0.3323          0.0348    10.47%

    二、公司财务状况、经营成果和现金流量情况

    1、资产情况

                                                                  金额单位:人民币元

        项目        2021年 12 月31日  2020年12月31日      增减额        增减率

 货币资金                251,304,903.63    275,336,213.05  -24,031,309.42    -8.73%

 交易性金融资产                    0.00      6,989,105.34    -6,989,105.34  -100.00%

 应收票据                  2,500,000.00      4,000,000.00    -1,500,000.00  -37.50%

 应收账款                653,484,276.79    678,108,436.75  -24,624,159.96    -3.63%


        项目        2021年 12 月31日  2020年12月31日      增减额        增减率

 应收账款融资            45,272,271.73    51,465,699.33    -6,193,427.60  -12.03%

 预付款项                102,421,105.58    108,035,545.09    -5,614,439.51    -5.20%

 其他应收款              35,495,707.72    46,241,269.82  -10,745,562.10  -23.24%

 存货                    569,531,788.80    527,150,898.14    42,380,890.66    8.04%

 其他流动资产            34,760,847.53    40,961,083.50    -6,200,235.97  -15.14%

 长期应收款              163,300,000.00    165,000,000.00    -1,700,000.00    -1.03%

 其他权益工具投资        94,949,674.28    94,587,700.81      361,973.47    0.38%

 其他非流动金融资产      234,562,188.89    225,071,537.91    9,490,650.98    4.22%

 投资性房地产            32,374,677.66    24,640,704.30    7,733,973.36    31.39%

 固定资产                704,812,339.52    675,176,737.28    29,635,602.24    4.39%

 在建工程                458,248,823.81    368,898,908.72    89,349,915.09    24.22%

 使用权资产              60,476,942.94                      60,476,942.94  100.00%

 无形资产                162,397,768.17    156,472,665.91    5,925,102.26    3.79%

 开发支出                63,399,797.35    52,278,192.01    11,121,605.34    21.27%

 商誉                      7,919,738.93    11,512,714.19    -3,592,975.26  -31.21%

 长期待摊费用            31,256,339.24    28,529,253.89    2,727,085.35    9.56%

 递延所得税资产          37,459,017.24    21,007,503.52    16,451,513.72    78.31%

 其他非流动资产          70,401,969.31    74,743,402.84    -4,341,433.53    -5.81%

 资产总额              3,816,330,179.12  3,636,207,572.40  180,122,606.72    4.95%

  (1)交易性金融资产:期末金额较上年末减少 6,989,105.34 元,减幅 100.00%,
主要系公司本期处置交易性金融资产所致。

  (2)应收票据:期末金额较上年末减少 1,500,000 元,减幅 37.50%,主要系公司
本期背书票据所致。

  (3)投资性房地产:期末金额较上年末增加 7,733,973.36 元,增幅 31.39%,主要
系公司本期出租房产增加所致。

  (4)商誉:期末金额较上年末减少 3,592,975.26 元,减幅 31.21%,主要系公司本
期对子公司计提商誉减值所致。

  (5)递延所得税资产:期末金额较上年末增加 16,451,513.72 元,增幅 78.31%,
主要系公司本期递延收益和可抵扣亏损增加所致。

    2、负债情况


                                                                    金额单位:人民币元

      项目        2021年12月31日  2020 年 12 月 31 日      增减额        增减率

短期借款              425,417,999.98    462,419,492.05    -37,001,492.07    -8.00%

应付票据              238,900,000.00    289,127,500.00    -50,227,500.00    -17.37%

应付账款              374,033,829.47    423,163,133.08    -49,129,303.61    -11.61%

预收款项                  101,624.00        271,726.01      -170,102.01    -62.60%

合同负债              149,016,315.46    120,122,803.68    28,893,511.78    24.05%

应付职工薪酬            61,127,149.02      48,831,445.57    12,295,703.45    25.18%

应交税费                43,468,920.74      45,444,293.62    -1,975,372.88    -4.35%

其他应付款            536,905,081.96    542,281,489.43    -5,376,407.47    -0.99%

一年内到期的非流动    75,657,066.71    120,166,468.75    -44,509,402.04    -37.04%
负债

其他流动负债            15,788,850.04      13,349,375.43    2,439,474.61    18.27%

长期借款                86,000,000.00      27,037,500.00    58,962,500.00  218.08%

租赁负债                28,042,043.92                        28,042,043.92  100.00%

长期应付款              50,623,720.99                        50,623,720.99  100.00%

递延收益              150,884,612.89      77,262,652.87    73,621,960.02    95.29%

递延所得税负债          22,661,026.13      18,752,964.74    3,908,061.39    20.84%

负债总额            2,258,628,241.31  2,188,230,845.23    70,397,396.08    3.22%

  (1)预收款项:期末金额较上年末减少 170,102.01 元,减幅 62.60%,主要系公
司本期预收的房租减少所致。

  (2)一年内到期的非流动负债:期末金额较上年末减少 44,509,402.04 元,减幅37.04%,主要系公司本期长期借款一年内到期额减少所致。

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