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如意集团:2021年度财务决算报告

公告日期:2022-04-29

如意集团:2021年度财务决算报告 PDF查看PDF原文

          山东如意毛纺服装集团股份有限公司

                2021 年度财务决算报告

    山东如意毛纺服装集团股份有限公司(以下简称“公司”)2021 年财务报
表经大华会计师事务所(特殊普通合伙)审计,并出具了“大华审字[2022]0012126号”标准无保留意见的审计报告。认为公司的财务报表在所有重大方面按照企
业会计准则的规定编制,公允反映了如意集团 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。

    一、主要会计数据和财务指标

                                                                  本年比上

                                2021 年            2020 年        年增减        2019 年

 营业收入(元)              689,746,415.85    786,244,868.95    -12.27%  1,150,094,090.63

 归属于上市公司股东的净

 利润(元)                      993,776.61      5,093,167.52    -80.49%    48,169,527.37

 归属于上市公司股东的扣

 除非经常性损益的净利润      -13,883,301.68      -73,378,002.30      81.08%    16,285,437.34
 (元)
 经营活动产生的现金流量

 净额(元)                  -262,721,049.58    145,340,194.40    -280.76%  -231,718,441.42

 基本每股收益(元/股)                0. 0038              0. 02    -81.00%              0.18

 稀释每股收益(元/股)                0. 0038              0. 02    -81.00%              0.18

 加权平均净资产收益率                0. 04%            0.19%      -0.15%            1.83%

                                                                  本年末比

                                2021 年末          2020 年末      上年末增      2019 年末

                                                                      减

 总资产(元)                4,807,343,244.56    4,911,871,622.24      -2.13%  4,888,767,224.00

 归属于上市公司股东的净

 资产(元)                  2,703,218,202.09    2,662,307,754.86      1.54%  2,654,972,109.77

    报告期内,公司在董事会、管理层和全体员工的共同努力下,围绕方针目标和经营计划,拓展国内外新市场,维护优势市场,发现创造新市场,将企业内部变革和国内国际市场培育拉动密切结合,促进了公司多品类接单、个性化
定制与产业链升级同步发展。

    在生产经营活动中,紧紧围绕“科技化、高端化、品牌化、国际化”的战略部署,秉承技术创新为引领的总要求,实施高质量发展战略,以技术研发为先驱,以服务型生产为支撑,充分发挥纺织智造、时尚品牌产业链协同效应,完善科技创新体系,引进和培养高水平人才,不断提升技术创新水平,在智能纺织、绿色纺织、新材料等领域实现了重点突破。

    二、财务状况、经营成果和现金流量情况分析

    (一)资产情况

                                                                单位:元

                        2021 年末                2021 年初

                                                                      比重增

                                  占总资                占总资      减      重大变动说明
                      金额        产比例      金额      产比例

 货币资金                                    462,632,27

                  30,442,131.98    0. 63%                  9.42%    -8.79%

                                                    1. 66

 应收账款                                    941,807,96                        因应收账款置换
                  401,076,393.08    8. 34%                19.17%  -10.83%  莱卡股权

                                                    5. 81

 存货                                        542,459,37

                  558,201,697.34    11.61%                11.04%    0.57%

                                                    3. 98

 投资性房地                                  136,785,96

 产              133,601,603.70    2. 78%                  2.78%    0.00%

                                                    7. 00

 长期股权投                                                                    应收账款及存货
 资              983,965,762.04    20. 47%                            20.47%  置换莱卡股权

 固定资产                                    1,167,311,1

                1,087,722,129.83    22. 63%                23.77%    -1.14%

                                                  61. 74

 在建工程                                    23,553,707.

                  23,553,707.42    0. 49%                  0.48%    0.01%

                                                      42

 使用权资产                                  28,690,104.

                  27,429,001.02    0. 57%                  0.58%    -0.01%

                                                      52

    (二)负债变动情况

                                                                单位:元

                          2021 年末                        2021 年初

                                                                                    比重增减
                      金额        占总资产比例        金额        占总资产比例


 短期借款      1,031,155,321.09        21.45%  1,239,610,990.21        25. 24%    -3.79%

 合同负债        122,986,109.20          2.56%    194,902,647.05          3. 94%    -1.38%

 长期借款        269,747,875.66          5.61%                                        5.61%

 租赁负债          24,016,699.13          0.50%    33,342,395.41          0. 67%    -0.17%

  (三)经营业务情况

                                                              单位:元

  项目        2021 年        2020 年      同比增减              重大变动说明

 营业收入    689,746,415.85  786,244,868.95  -12.27%

 营业成本    493,485,883.42  574,854,599.78  -14.15%

税金及附加    19,746,575.68    22,374,934.88  -11.75%

 销售费用    67,278,357.91    48,683,603.38    38.20% 市场服务费和职工薪酬增加

 管理费用    73,874,332.29    68,737,607.41    7.47%

 财务费用    12,374,641.68    81,023,754.20  -84.73% 利息支出减少,利息收入增加

 研发费用    32,871,645.50    26,734,022.02    22.96%

营业外收入    12,834,184.63    1,246,475.58  929.64% 与日常活动无关的政府补助及豁免债务

 利润总额    11,472,851.59    3,887,344.39  195.13% 收入及毛利率较上年同期下降

  净利润      -5,244,247.15      -3
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