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合力泰:2021年度财务决算报告

公告日期:2022-04-15

合力泰:2021年度财务决算报告 PDF查看PDF原文

                  合力泰科技股份有限公司

                  2021 年度财务决算报告

        公司 2021 年 12 月 31 日资产负债表、2021 年度利润表、2021 年度现金流量
  表、 2021 年度所有者权益变动表及相关报表附注已经致同会计师事务所(特殊普通
  合伙)审计,并出具标准无保留意见的审计报告。

        一、2021 年度主要财务数据

                                                                              单位:元

                            2021 年          2020 年      本年比上年      2019 年

                                                              增减

营业收入(元)          16,232,597,172.83  17,152,888,154.88      -5.37%  18,629,941,857.79

归属于上市公司股东的净    76,761,502.09  -3,118,583,551.28      102.46%    1,033,059,672.33
利润(元)
归属于上市公司股东的扣

除非经常性损益的净利润    -908,718,548.07  -3,321,491,351.46      72.64%    629,250,640.60
(元)

经营活动产生的现金流量  1,383,012,668.90    -455,037,355.79      403.93%    940,283,612.23
净额(元)

基本每股收益(元/股)            0.0246              -1      102.46%              0.33

稀释每股收益(元/股)            0.0246              -1      102.46%              0.33

加权平均净资产收益率              0.86%          -29.77%      30.63%            8.88%

                          2021 年末        2020 年末      本年末比上      2019 年末

                                                            年末增减

总资产(元)            29,309,514,164.48  30,372,318,685.43      -3.50%  34,276,970,995.50

归属于上市公司股东的净  8,945,161,216.08  8,863,396,105.59        0.92%  12,088,822,969.94
资产(元)

      2021年,在经济形势复杂多变、全球疫情常态化和行业周期低谷的多重压力下,
  公司聚焦主业、锐意进取。报告期,公司营业收入保持稳健,毛利额较上年同期增

  长约30%,扣非后净利润较上年同期增长72.64%,经营性现金流同比增长403.93%。
  公司重视精益制造管理,加强内部订单管理,梳理供应链管理和成本中心,持续增

  强盈利能力。在疫情导致全球消费能力下降、关键原材料涨价缺货以及多种不利因

  素综合作用下,公司电子板块整体毛利率仍较去年同期增加了1.57个百分点。

      二、期间费用

                                                                            单位:元

                            2021 年                2020 年            同比增减

  销售费用                    112,860,252.34        108,630,214.49              3.89%

  管理费用                    679,230,938.13        716,120,637.43            -5.15%

  财务费用                    766,532,871.32        730,511,260.88              4.93%

  研发费用                    745,839,288.46        686,218,394.43              8.69%

    三、资产及负债情况分析

                                                                            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

 货币资金      3,213,167,723.93        10.96%  2,619,745,585.97        8.63%    2.33%

 应收账款      4,876,674,827.58        16.64%  6,326,426,578.76        20.83%    -4.19%

 存货          6,696,077,646.20        22.85%  6,496,605,156.38        21.39%    1.46%

 投资性房地产                          0.00%      1,222,342.62        0.00%    0.00%

 长期股权投资    345,674,708.54        1.18%      7,674,917.48        0.03%    1.15%

 固定资产      4,306,218,588.13        14.69%  4,907,383,454.68        16.16%    -1.47%

 在建工程        699,412,463.10        2.39%    921,796,860.78        3.03%    -0.64%

 使用权资产      245,297,155.95        0.84%    314,210,338.80        1.01%    -0.17%

 短期借款      7,172,100,773.53        24.47%  6,253,385,755.74        20.59%    3.88%

 合同负债        131,108,968.76        0.45%    60,577,853.98        0.20%    0.25%

 长期借款      1,211,912,785.12        4.13%  1,211,232,997.46        3.99%    0.14%

 租赁负债        169,460,845.77        0.58%    237,975,184.56        0.77%    -0.19%

      四、现金流情况分析

                                                                            单位:元

        项目                2021 年                2020 年              同比增减

经营活动现金流入小计        18,387,282,621.03      16,413,140,950.75                12.03%

经营活动现金流出小计        17,004,269,952.13      16,868,178,306.54                0.81%

经营活动产生的现金流        1,383,012,668.90        -455,037,355.79              403.93%
量净额

投资活动现金流入小计          435,194,305.97          87,099,791.47              399.65%


投资活动现金流出小计        1,298,499,150.67        1,088,378,425.45                19.31%

投资活动产生的现金流          -863,304,844.70        -1,001,278,633.98                13.65%
量净额

筹资活动现金流入小计        13,883,062,068.23      12,437,787,344.10                11.62%

筹资活动现金流出小计        14,197,543,409.24      11,855,180,555.90                19.76%

筹资活动产生的现金流          -314,481,341.01          582,606,788.20              -153.98%
量净额

现金及现金等价物净增          215,366,368.27        -859,427,573.64              125.06%
加额

      1、经营活动产生的现金流量净额同比增长 403.93%,主要为本期销售商品、提

  供劳务收到的现金增加以及收到政府补助的现金增加所致;

      2、投资活动现金流入小计同比增长399.65%,主要为本期出售平波电子、合力

  泰化工及新联化物流100%股权,处置子公司及其他营业单位收到的现金增加所致;
      3、筹资活动产生的现金流量净额同比下降153.98%,主要为本期偿还债务支付

  的现金增加所致。

                                              合力泰科技股份有限公司董事会

                                                    2022 年 4 月 15 日

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