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首页 公告 万邦德:2021年年度财务报告

万邦德:2021年年度财务报告

公告日期:2022-04-14

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          万邦德医药控股集团股份有限公司

              2021 年度财务决算报告

    万邦德医药控股集团股份有限公司(以下简称“公司”)2021 年度财务报表在所有
重大方面按照企业会计准则的规定编制,公允反映了公司 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。公司 2021 年度财务报告,已经大华会计师事务所(特殊普通合伙)审计,并出具标准无保留意见的审计报告。现将 2021 年度合并财务报表反映的主要财务数据报告如下:

    一、报告期内主要财务数据和指标

    1、主要财务数据

                                                          单位:人民币元

          项      目              2021 年度          2020 年度    本年比上年增减
                                                                          (%)

      营业总收入(元)          1,930,601,866.40 13,701,855,583.81        -85.91%

        营业利润(元)            375,153,692.03  346,603,852.63          8.24%

        利润总额(元)            361,135,335.48  347,757,000.87          3.85%

  归属于上市公司股东的净利润      166,509,677.21  284,935,733.86        -41.56%
            (元)

 归属于上市公司股东的扣除非经      135,994,114.16  261,862,554.99        -48.07%
    常性损益的净利润(元)

          项      目              2021 年末          2020 年末    本年比上年增减
                                                                          (%)

        资产总额(元)          4,371,377,020.86 5,662,314,950.96        -22.80%

        负债总额(元)          1,626,694,346.84 2,804,191,333.60        -41.99%

 归属于上市公司股东的所有者权    2,598,357,643.63 2,621,651,855.29          -0.89%
          益(元)

        总股本(股)              618,222,829.00  618,222,829.00          0.00%

    报告期内,公司实现营业收入1,930,601,866.40元,较上年同期减少85.91%;营业利润375,153,692.03元,较上年同期增加8.24%;利润总额361,135,335.48元,较上年
同期增加3.85%;归属于上市公司股东的净利润166,509,677.21元,较上年同期减少41.56%。

    2021年末,公司资产总额4,371,377,020.86元,较上年同期减少22.80%;归属于上市公司股东的所有者权益2,598,357,643.63元,较上年同期减少0.89%。

    2、主要财务指标

    (1)偿债能力分析

                      项目                      2021 年            2020 年

                    流动比率                      1.92              1.65

                    速动比率                      1.63              1.03

                  资产负债率%                  37.21%            49.52%

    注:上述指标的计算公式如下:

    流动比率=流动资产÷流动负债

    速动比率=(流动资产-存货-预付款项-持有待售资产-一年内到期的非流动资产-其他流动资产)÷流动负债

    资产负债率=(负债总额÷资产总额)×100%

    本期公司流动比率、速动比率较上期有所增加,资产负债率较上期有所减少,资产负债率减少的主要原因系本期银行借款减少所致。总体来说,公司偿债能力较高,财务风险较小。

    二、 财务状况分析

    1、2021 年度资产负债变动情况

                                                            单位:人民币元

        项  目              2021 年末      2020 年末        增减额      增减率

        货币资金          912,019,180.88  574,183,019.64  337,836,161.    58.84%

        应收票据          179,177,972.13            0.00  179,177,972.

        应收账款          940,706,324.66  1,082,398,270.  -141,691,945  -13.09%

      应收款项融资        35,964,303.34  226,921,018.92  -190,956,715  -84.15%

        预付款项          75,709,721.11  43,093,895.02  32,615,826.0    75.69%

        其他应收款          20,542,431.62  41,001,733.14  -20,459,301.  -49.90%

          存货            261,407,871.87  850,888,028.61  -589,480,156  -69.28%


      项  目              2021 年末      2020 年末        增减额      增减率

    持有待售资产                  0.00  204,331,259.25  -204,331,259  -100.00%

一年内到期的非流动资产    1,212,139.48    1,269,057.19    -56,917.71    -4.49%

    其他流动资产        42,080,415.70  57,868,568.14  -15,788,152.  -27.28%

    长期应收款          3,967,281.65    5,881,494.94  -1,914,213.2  -32.55%

 其他非流动金融资产      12,909,534.93  15,300,000.00  -2,390,465.0  -15.62%

      固定资产          792,311,700.34  695,695,482.97  96,616,217.3    13.89%

    使用权资产          2,242,081.43            0.00  2,242,081.43

      在建工程          380,880,311.28  1,043,028,221.  -662,147,910  -63.48%

      无形资产          398,650,229.79  491,683,512.99  -93,033,283.  -18.92%

      开发支出          18,886,925.45  12,430,644.19  6,456,281.26    51.94%

        商誉            194,786,622.60  217,870,872.54  -23,084,249.  -10.60%

    长期待摊费用          4,632,713.13    7,455,465.79  -2,822,752.6  -37.86%

  递延所得税资产        54,234,103.24  47,016,869.22  7,217,234.02    15.35%

  其他非流动资产        39,055,156.23  43,997,536.05  -4,942,379.8  -11.23%

      资产总计          4,371,377,020.  5,662,314,950.  -1,290,937,9  -22.80%

      短期借款          570,294,411.39  1,097,918,698.  -527,624,287  -48.06%

      应付票据          13,220,000.00  15,760,560.00  -2,540,560.0  -16.12%

      应付账款          241,290,763.52  339,848,039.82  -98,557,276.  -29.00%

      合同负债          33,206,286.77  75,646,968.90  -42,440,682.  -56.10%

    应付职工薪酬        25,858,309.02  55,696,007.03  -29,837,698.  -53.57%

      应交税费          258,814,157.62  121,309,523.51  137,504,634.  113.35%

    其他应付款          31,700,149.55  144,318,024.04  -112,617,874  -78.03%

一年内到期的非流动负债    32,049,329.33  12,114,969.77  19,934,359.5  164.54%

    其他流动负债        76,968,559.93    2,436,998.96  74,531,560.9  3058.33%

      长期借款          237,000,000.00  746,800,000.00  -509,800,000  -68.26%

    长期应付款                  0.00  53,713,502.11  -53,713,502.  -100.00%

      租赁负债            1,222,309.74            0.00  1,222,309.74

      预计负债          12,194,627.97    5,039,640.33  7,154,987.64  141.97%

      递延收益          59,372,728.93  102,515,672.67  -43,142,943. 
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